The correct statement about default risk is:
"under Chapter 7 of the bankruptcy act, the assets of a firm that declares bankruptcy must be liquidated, and the sale proceeds must be used to pay off claims against it according to the priority of the claims as spelled out in the bankruptcy act."
A federal statute called the Bankruptcy Act specifies the steps that must be taken in order to petition for bankruptcy by both people and corporations. The Act recognises a number of bankruptcy models, including Chapter 7 and Chapter 13. While Chapter 13 is a reorganisation bankruptcy that enables people to maintain their assets while coming up with a plan to pay off their debts over time, Chapter 7 is a liquidation bankruptcy in which a company or individual's assets are auctioned off to pay creditors. The Act also describes the rights of creditors and debtors, as well as the order of claims.
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which of the following is the most cost-effective method for disseminating security information and news to employees?
The most economical way to update staff members about security-information related news and information is through a security newsletter.
The factor that most significantly affects how an organization's information security programme is structured is its size. These e-newsletters inform us about security issues and teach us what to look for and how to report them, keeping us all informed about security issues.
Newsletters can inform readers about new items, feature personnel, celebrate accomplishments, and make announcements about forthcoming activities or sales. They can also act as another kind of promotion by reserving coupons or discounts just for subscribers, which is a clever method to monitor reading. protects assets. Every firm needs to manage its assets. A structure is in place with a security budget.
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Correct Question:
What is the most cost-effective method for disseminating security information and news to employees?
what is the expected return of this portfolio of stocks? portfolio weight expected return stock x 40% 7.17% stock y 25% 7.22% stock z 35% 14.1% enter and round your answer to the nearest one-hundredth of a percent. do not include the percent sign (%).
Rounding to the nearest hundredth, the expected return of the portfolio is 9.61%.
Expected return of portfolio = (0.40 x 7.17) + (0.25 x 7.22) + (0.35 x 14.1)
Expected return of portfolio = 2.868 + 1.805 + 4.935
Expected return of portfolio = 9.608
Expected return is a financial term that refers to the anticipated gain or loss on an investment, based on the probabilities of different possible outcomes. It is a way of measuring the potential profitability of an investment and can be calculated using various mathematical models.
The expected return is usually expressed as a percentage or an annualized rate of return. It takes into account the probability of different outcomes and the potential gains or losses associated with each outcome. For example, if an investment has a 50% chance of earning a 10% return and a 50% chance of earning a 5% return, the expected return would be calculated as (0.5 x 10%) + (0.5 x 5%) = 7.5%. The expected return is an important concept for investors, as it helps them to make informed decisions about where to allocate their funds.
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what type of listing is given to one broker and promises commission to the listing broker provided the owner does not find the buyer?
The type of listing given to one broker and promises commission to the listing broker provided the owner does not find the buyer is an exclusive right-to-sell listing.
In a specific time period a property owner grants a single broker or agent the sole right to market and sell their home under the terms of an exclusive right-to-sell listing.
No matter who ultimately finds the buyer as long as the sale occurs within the specified listing period the listing broker is guaranteed a commission. This kind of contract is typical in the real estate sector and gives the broker a strong incentive to market the property successfully and quickly locate a qualified buyer.
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which of the following expenditures associated with the production of a new high-performance suv will be directly included in gdp?
Expenditures associated with the production of a new high-performance SUV that will be directly included in GDP are those that are considered final goods or services.
These include the wages paid to the workers assembling the SUV and the cost of the steel used to build the SUV. These expenditures are considered part of the value added in the production process and contribute to the calculation of GDP.
On the other hand, advertising expenses to promote the SUV and the interest payments on the loan used to finance the construction of the factory where the SUV is produced are not directly included in GDP as they are considered intermediate goods or services.
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Complete Question:
Which of the following expenditures associated with the production of a new high-performance SUV will be directly included in GDP?
bates corp. has $100,000 in bonds payable with a fair market value of $120,000. it also has 1,000 shares of common stock issued at $50 per share with a fair market value of $80 per share. what amount represents the corporation's market capitalization?
The answer to the question is that Bates Corp.'s market capitalization is $200,000.
Market capitalization, also known as market cap, is a company's total value in the stock market. To calculate it, we need to add up the value of the company's outstanding shares of common stock and any outstanding bonds payable.
For Bates Corp., we know that it has $100,000 in bonds payable with a fair market value of $120,000. This means that the bonds are worth more than their face value, which is a good thing for the company.
In addition, Bates Corp. has 1,000 shares of common stock issued at $50 per share with a fair market value of $80 per share. This means that each share of stock is worth more than the price at which it was issued, which is also a good thing for the company.
To calculate the market capitalization, we need to add up the value of the bonds payable and the value of the outstanding shares of common stock:
$100,000 (bonds payable) + ($80 per share x 1,000 shares) = $200,000
So, Bates Corp.'s market capitalization is $200,000, calculated by adding the value of the outstanding bonds payable and the outstanding shares of common stock.
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luisa crimini has been operating a beauty shop in a college town for the past 10 years. recently, luisa rented space next to her shop and opened a tanning salon. she anticipated that the costs for the tanning service would primarily be fixed, but found that tanning salon costs increased with the number of appointments. costs for this service over the past 8 months are as follows: tanning month appointments total cost january 800 $1,745 february 2,000 $2,120 march 3,300 $2,770 april 2,600 $2,500 may 1,400 $1,800 june 2,400 $2,285 july 2,130 $2,300 august 2,900 $2,610 required: 1. which month represents the high point? the low point? high point low point in your calculations, round per unit costs to the nearest cent. 2. using the high-low method, compute the variable rate for tanning. compute the fixed cost per month. round the variable rate per tanning appointment to the nearest cent and use it in your further calculations. round the fixed cost per month to the nearest dollar and use it in your further calculations. variable rate for tanning $fill in the blank 3 per tanning appointment fixed cost per month $fill in the blank 4 3. using the variable rate and fixed cost, what is the cost formula for tanning services? 4. calculate the total predicted cost of tanning services for september for 2,400 appointments using the formula found in requirement 3. of that total cost, how much is the total fixed cost for september? how much is the total predicted variable cost for september? if required, round the final answers to the nearest dollar. total predicted cost for september $fill in the blank 6 total fixed cost for september $fill in the blank 7 total predicted variable cost for september $fill in the blank 8 5. which of the following statements is correct when luisa uses the high-low method to estimate the costs?
The high-point is in March with [tex]3,300[/tex] appointments and a total cost of [tex]$2,770.[/tex] The low-point is in May with [tex]1,400[/tex] appointments and a total-cost of [tex]$1,800.[/tex]
[tex]Variable rate = (Total cost at high point - Total cost at low point) / (Appointments at high point - Appointments at low point)[/tex]
[tex]Variable rate = ($2,770 - $1,800) / (3,300 - 1,400) = $0.60 per appointment (rounded to the nearest cent).[/tex]
[tex]Fixed cost = Total cost - (Variable rate x Appointments)[/tex]
Using the low point, we have:
[tex]Fixed cost = $1,800 - ($0.60 x 1,400) = $930 (rounded to the nearest dollar).[/tex]
Cost formula:
The cost formula for tanning services is:
[tex]Total cost = Fixed cost + (Variable rate x Appointments)[/tex]
or
[tex]C = $930 + $0.60A[/tex], where C is the total cost and A is the number of appointments.
Total predicted cost for September:
Using the cost formula, we can predict the total cost for September with [tex]2,400[/tex] appointments:
[tex]Total predicted cost = $930 + ($0.60 x 2,400)[/tex]
[tex]total predicted cost = $2,370 (rounded to the nearest dollar).[/tex]
[tex]Total fixed cost for September = $930.[/tex]
[tex]Total predicted variable cost for September = $1,440 ($0.60 x 2,400).[/tex]
When Luisa uses the high-low method to estimate the costs, she assumes that the variable rate per appointment is constant and that the fixed cost is independent of the number of appointments. However, this assumption may not always hold true, especially if the volume of appointments changes significantly or if there are other factors that affect the cost structure of the tanning salon. Therefore, the high-low method is a simple and quick way to estimate costs, but it should be used with caution and in conjunction with other cost estimation techniques.
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Based on your assessment, you determine that the fetus is in a/an [blank] presentation
Based on your assessment, you determine that the fetus is in a specific presentation. A "presentation" refers to the position of the fetus in the uterus during labor and delivery. An accurate assessment of fetal presentation is crucial for a successful and safe delivery. The main types of fetal presentations are:
1. Cephalic presentation: The most common presentation, where the fetus's head is facing downwards towards the birth canal. This is the ideal position for a normal vaginal delivery.
2. Breech presentation: The fetus's buttocks or feet are positioned towards the birth canal, making it more difficult for a vaginal delivery. This presentation may require medical intervention or a cesarean section.
3. Shoulder or transverse presentation: The fetus is lying sideways in the uterus, with its shoulder or arm facing the birth canal. This is a rare presentation and often results in a cesarean section due to potential complications.
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first movers in an industry often capture above-average profits and have the advantage that they can sustain this position through to the maturity phase of their life cycle. group startstrue or falsetrue, unselectedfalse, unselectedgroup ends
True, first movers in an industry often capture above-average profits and have the advantage that they can sustain this position through to the maturity phase of their life cycle. First movers are companies or individuals that are the first to enter a specific market or industry. By being the first, they can establish a strong brand presence, gain customer loyalty, and develop new technologies or innovations before their competitors.
Step 1: Establish a strong brand presence
First movers can build their brand reputation and recognition before other competitors enter the market. This helps them to gain a larger market share and create customer trust, which can result in sustained profits.
Step 2: Gain customer loyalty
By being the first in the market, customers will associate the product or service with the first mover's brand. This can lead to customer loyalty and repeat business, contributing to long-term profitability.
Step 3: Develop new technologies or innovations
First movers often have the opportunity to invest in research and development, which allows them to create unique products or services. By introducing innovative solutions, they can differentiate themselves from competitors and maintain a competitive edge.
Step 4: Create barriers to entry
By dominating the market early on, first movers can create barriers to entry for competitors. These barriers may include high startup costs, proprietary technology, or exclusive contracts with suppliers or distributors.
In conclusion, being a first mover in an industry can lead to capturing above-average profits and sustaining this position through to the maturity phase of the business life cycle. This advantage is primarily due to strong brand presence, customer loyalty, innovation, and creating barriers to entry for competitors.
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A computer with a useful life of five years has an initial cost of $6000. The salvage value is $2300, and the annual maintenance is $210/yr The interest rate is 8%. What is most nearly the present worth of the costs for the computer?
The most nearly present worth of the costs for the computer is $2,332.58.
Present Worth = (Annual Maintenance x Present Worth Factor) + Salvage Value x (P/F, i, n)
Present Worth Factor = (1 - (1 + i[tex])^-n)[/tex] / i
= [tex](1 - (1 + 0.08)^-5) / 0.08[/tex]
= 3.9937
Next, let's calculate the present value of the annual maintenance costs:
Annual Maintenance x Present Worth Factor = $210 x 3.9937
= $839.02
Finally, let's calculate the present value of the salvage value:
Salvage Value x (P/F, i, n) = $2,300 x (1 / (1 + 0.08[tex])^5[/tex])
= $1,493.56
The present worth of the costs for the computer is the sum of the present value of the annual maintenance costs and the present value of the salvage value:
Present Worth = $839.02 + $1,493.56
= $2,332.58
Salvage value refers to the estimated value of an asset at the end of its useful life or when it is no longer economically viable to use. It is the amount of money that could be obtained by selling or disposing of the asset after it has been fully depreciated. Salvage value is an important consideration in accounting and financial analysis because it can impact the calculation of an asset's depreciation expense and the overall cost of ownership.
It is also a key factor in determining the total cost of a project or investment, as it can impact the net present value and internal rate of return calculations. For example, if a company purchases a machine for $10,000 and it is expected to have a useful life of 10 years, with no residual value, then the annual depreciation expense would be $1,000. At the end of 10 years, the book value of the machine would be zero and the salvage value would be whatever amount could be obtained from selling or disposing of the machine.
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If you bought a stock for $80 and sold it for $100 after a year, you also received a dividend of $15 in that year. What was the return you received over the year?.
So, the return you received over the year was 43.75% (rounded to two decimal places). This is a relatively high return, which can be attributed to both the increase in stock price and the dividend payment.
To calculate the return you received over the year, we need to use the formula for total return, which is:
Total return = (Ending value - Beginning value + Dividends) / Beginning value
In this case, the beginning value is $80 (the price you paid for the stock), the ending value is $100 (the price you sold the stock for), and the dividends received are $15. Plugging these values into the formula, we get:
Total return = ($100 - $80 + $15) / $80
Total return = $35 / $80
So, the return you received over the year was 43.75% (rounded to two decimal places). This is a relatively high return, which can be attributed to both the increase in stock price and the dividend payment.
To calculate the return on your investment, you can use the following formula: (Ending Value - Beginning Value + Dividends) / Beginning Value. In your case, the beginning value is $80, the ending value is $100, and you received a dividend of $15.
So, the return would be: ($100 - $80 + $15) / $80 = $35 / $80 = 0.4375 or 43.75%. Therefore, you received a return of 43.75% over the year.
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T/F Recognizing sales returns when merchandise is returned could result in an overstatement of income in the period of the related sale.
True. Recognizing sales returns when merchandise is returned could result in an overstatement of income in the period of the related sale is true.
A consumer or customer sending a product back to a seller is known as a merchandise return. There are many reasons for customer returns, including: excessive The customer may have ordered more items than they needed, or the company may have mistakenly shipped more items. These products can be returned by the customer to the seller.
Delays in shipping: If a consumer decides they no longer need a goods, they could return it. For instance, if a consumer orders a product and it doesn't come by the deadline, the customer may return the item.
customers' anticipations Unintentionally purchased item: While shopping, a customer might occasionally order the wrong thing that they don't want.
Following are some benefits of keeping track of returns: Recognising profits: Sales and profits can be impacted by returns. Customers who return things may receive a replacement or refund from the business, which affects their overall profit. To ensure the correctness of balance sheets, it's crucial to monitor returns.
Trend analysis: Businesses may utilise sales returns to assess how specific locations or categories perform over time. Financial experts can investigate the reason and offer predictions or changes to benefit the company, for instance, if one retail location receives larger returns than the others.
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all else being equal, when firms enters a competitive market, responses a market supply increases and market price decreases.market supply increases and market price decreases. b market supply decreases and market price increases.market supply decreases and market price increases. c both market demand and market supply decrease.both market demand and market supply decrease. d both market demand and market supply increase.
When a firm enters a competitive market, the market supply increases and market price decreases. This is because the new firm is adding to the overall supply in the market, causing an increase in the quantity supplied. As a result, the market price decreases to accommodate the additional supply.
This can be understood using the law of supply, which states that as the price of a good or service increases, the quantity supplied also increases. When a new firm enters the market, it increases the quantity supplied, which leads to a decrease in the market price.
Option A, which states that the market supply increases and market price decreases, is the correct answer. This is because in a competitive market, firms are price takers and cannot control the market price. Instead, they adjust their output to match the market price.
Options B and C are incorrect because they suggest that the market supply and market demand move in opposite directions. In a competitive market, the market demand and market supply move in the same direction.
Option D is also incorrect because it suggests that both the market demand and market supply increase. While a new firm may increase the market supply, it does not necessarily affect the market demand. Therefore, option D is not a valid answer.
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to decrease shipping costs, a shipper will: i. increase the weight shipped. ii. consolidate shipments. iii. use a common carrier rather than a contract carrier. question 32 options: all of the above i and ii only i and iii only ii and iii only i only
To decrease shipping costs, a shipper will typically consolidate shipments, use a common carrier rather than a contract carrier, or increase the weight shipped.
Consolidating shipments allows the shipper to reduce the number of shipments they make, which can lead to lower transportation costs. Additionally, using a common carrier allows shippers to take advantage of their established routes and economies of scale, which can help to lower transportation costs.
Finally, increasing the weight shipped can also help to lower shipping costs, as carriers often charge lower rates for larger shipments. However, it is important to note that increasing the weight shipped may not always be practical or feasible, as there are often limits on the size and weight of shipments that can be transported.
Overall, shippers must carefully consider a variety of factors when attempting to reduce shipping costs, including the size and weight of their shipments, the mode of transportation used, and the carrier selected. By optimizing these factors, shippers can help to minimize transportation costs and improve their bottom line.
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A study shows that downloaded videos dominated Internet traffic in March 2011, led by streaming videos on Netflix.
a)Could we say that Video is king on the web? Give your view.
b)Describe THREE (3) criteria (or features) that the website has which could generate high traffic.
c)Explain the TWO (2) areas where the website could improve in order to contribute to the generation of high traffic.
a) Yes, based on the given information, we could say that video is king on the web. The fact that downloaded videos dominated internet traffic in March 2011.
Along with streaming videos on Netflix being the top contributor, suggests that video is a highly consumed and sought-after form of content on the internet.
b) Three criteria or features that a website could have to generate internet traffic
High-quality content: Websites that have unique, informative, and engaging content tend to attract and retain more visitors. The content should be relevant to the target audience and presented in a visually appealing manner.
User-friendly interface: Websites that are easy to navigate and use tend to attract and retain more visitors. The website should have a simple layout, clear call-to-action buttons, and fast loading times.
Search engine optimization (SEO): Websites that rank high in search engine results tend to generate more traffic. Effective SEO strategies such as keyword optimization, link building, and meta tag optimization can help a website rank higher in search engine results pages.
c) Two areas where the website could improve in order to contribute to the generation of high traffic are:
Mobile optimization: With the increasing use of mobile devices to access the internet, websites that are not optimized for mobile devices are likely to lose traffic. The website should be optimized for mobile devices to ensure a seamless user experience.
Social media integration: Social media platforms are a great way to generate traffic and increase brand awareness. The website could improve by integrating social media buttons and sharing options to allow visitors to easily share content on their social media pages.
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which segment is part of the general environment? a. the human resources segment b. the global segment c. the industry segment d. the information segment
The general environment is made up of factors that are outside the control of an organization but can still have a significant impact on its operations. One of the segments that belong to the general environment is the b) global segment.
The global segment refers to the trends and forces that affect businesses on a worldwide scale, such as changes in international trade policies, the impact of globalization, and the growth of emerging markets.
The global segment can have a significant impact on the operations and performance of an organization, regardless of its industry or size. For instance, changes in exchange rates or the emergence of new competitors from other countries can affect the demand for an organization's products and services.
As a result, businesses need to monitor the global segment closely and adapt to the changes to remain competitive and successful in the global market.
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so why do firms practice second degree price discrimination? why not charge a set price for each ticket?
Firms practice second degree price discrimination because it allows them to maximize profits by charging different prices to different groups of consumers based on their willingness to pay. By offering multiple pricing tiers or packages, firms can capture more revenue from consumers who are willing to pay more for additional features or benefits, while still attracting consumers who are willing to pay less for a basic product or service.
Charging a set price for each ticket would not allow firms to capture the additional revenue potential from high-paying customers, which can ultimately result in lost profits. Additionally, second degree price discrimination can help firms better manage capacity and inventory, as they can adjust prices and offerings based on demand fluctuations and availability.
Firms practice second-degree price discrimination to maximize profits by capturing consumer surplus. This involves offering different pricing options or packages for the same product or service, allowing customers to self-select based on their preferences and willingness to pay. Instead of charging a set price for each ticket, firms can cater to a broader range of consumers, extracting more revenue from those willing to pay higher prices while still offering affordable options for price-sensitive customers. This pricing strategy helps firms increase sales volume and overall profitability.
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manny howard wrote a check for $720 for advertising expense, but posted the amount as $270 in the check register. journalize the adjusting entry to correct the error.
An adjusting entry corrects wrong check register entry; increases advertising expense by $450 and decreases cash by $450 for accurate financial statements.
To correct the error of posting the wrong amount in the check register, an adjusting entry needs to be made. The entry will increase the Advertising Expense account by $450 and decrease the Cash account by $450.
The adjusting entry to correct the error is:
Debit: Advertising Expense $450
Credit: Cash $450
This entry will increase the Advertising Expense account by $450, which is the difference between the correct amount of $720 and the amount recorded in the check register of $270. It will also decrease the Cash account by the same amount.
This adjusting entry is necessary to ensure that the financial statements accurately reflect the actual amount of the advertising expense. If the error is not corrected, the financial statements will show a lower expense than the actual amount incurred, which will distort the profitability of the business.
In summary, an adjusting entry needs to be made to correct the error of posting the wrong amount in the check register. The entry will increase the Advertising Expense account by $450 and decrease the Cash account by $450, thereby ensuring that the financial statements accurately reflect the actual amount of the advertising expense.
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andy is the owner of a deferred annuity. he names his wife, marla, as the annuitant, and his son, chris, as beneficiary. the contract is annuitized under a life income option. the duration of the payments will be based on whose life?
The duration of the payments for the annuitized deferred annuity contract under a life income option will be based on the life of the annuitant, Marla.
As the owner, Andy has named his wife as the annuitant and his son, Chris, as the beneficiary. Therefore, Marla's life expectancy will determine the length of the payments.
The fact that Chris is named as the beneficiary means that upon Marla's death, any remaining principal in the annuity would be paid out to him. However, if the annuity is structured as a life-only annuity with no guaranteed period, there may not be any remaining principal to pay out to the beneficiary.
It is important to note that the terms and conditions of an annuity contract can vary depending on the specific terms agreed upon by the annuitant and the insurance company offering the annuity.
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mark is irresponsible with money, borrows it from people and banks and doesn't pay it back. he also impulsive and lacks concern for the feelings of others. he has been in trouble with the law as a juvenile. he recently manipulated a senior citizen into giving him her life savings by lying about investments. these behaviors align with:
Mark's behaviors align with the traits of a sociopath or psychopath.
These individuals often display a lack of empathy and remorse, disregard for social norms and laws, and engage in impulsive and manipulative behavior.
Criminal, cruel, or socially irresponsible behavior, such as lying, stealing, or using violence or abuse against others, is a common trait of psychopaths.
Psychopaths don't feel guilty for their activities, even when they do harm to other people, because they have no empathy for their needs or rights.
It is important for Mark to seek professional help and address these concerning behaviors for his own well-being and the safety of those around him.
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How would you punish a corporate executive whose product killed people if the executive had no knowledge that the product was potentially lethal? What if the executive did know?
Executives of the company should be held accountable for the deaths caused by their products because Lethal is a destructive product.
As a result of the devastation that their products caused, executives must now be prosecuted with negligent homicide. Exemplary executives are able to express their opinions, engage with others' ideas, analyze data for insights, weigh options, make the final decision on their own, and clearly convey that decision.
This ability significantly boosts the confidence and concentration of people they lead. If you possess excellent leadership abilities with track records of success, management experience, a confident and upbeat professional demeanor, and a solution-focused work style, executive jobs may be the perfect fit for you.
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in the long run, if price is greater than average total cost in an industry, then responses a some firms leave the industry.some firms leave the industry. b some new firms enter the industrty.some new firms enter the industrty. c all firms leave the industry.all firms leave the industry. d there is no incentive for any firm to enter or leave the industry.
The correct option is a- some firms leave the industry. When the price is greater than the average total cost in an industry, it means that the firms are making profits.
Some new firms enter the industry, is that it is not likely to happen in the long run when the price is greater than the average total cost. New firms will only enter the industry if they believe they can make profits, but if the existing firms are already making profits, it is less likely that new firms will enter. All firms leave the industry, is not correct because there will always be firms that are making profits and can sustain their operations in the long run.
There is no incentive for any firm to enter or leave the industry, is also incorrect because there are always incentives for firms to either enter or leave an industry based on their profitability.
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You have the following data on three stocks:
Stock Standard Deviation Beta
A 20% 0.59
B 10% 0.61
C 12% 1.29
If you are a strict risk minimizer, you would choose Stock ____ if it is to be held in isolation and Stock ____ if it is to be held as part of a well-diversified portfolio.
Answer
A) A; A.
B) A; B.
C) B; A.
D) C; A.
E) C; B.
Which is the best measure of risk for a single asset held in isolation, and which is the best measure for an asset held in a diversified portfolio?
Answer
A) Variance; correlation coefficient.
B) Standard deviation; correlation coefficient.
C) Beta; variance.
D) Coefficient of variation; beta.
E) Beta; beta
1. If you are a strict risk minimizer, you would choose Stock B if it is to be held in isolation and Stock A if it is to be held as part of a well-diversified portfolio.
2. For a single asset held in isolation, the best measure of risk is the standard deviation. For an asset held in a diversified portfolio, the best measure of risk is beta.
If you strictly minimise your risk, you would pick Stock B if you intend to hold it alone and Stock C if you want to hold it as a component of a well-diversified portfolio. This is true because, when considered separately, standard deviation ought to be the lowest, and total Beta ought to be the lowest in a well-diversified portfolio.
The risk of a certain asset may be best assessed using the coefficient of variation. It enables the investor to weigh the risk involved in a particular financial investment against the potential profits. The Beta is the most effective metric for determining how risky an investment is that is part of a diversified portfolio.
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an example of customer-oriented marketing to customers who care about sustainability would be .____
An example of customer-oriented marketing to customers who care about sustainability would be promoting products or services that are environmentally friendly, energy-efficient, and sustainable.
Companies can leverage the sustainability factor to attract eco-conscious customers by using eco-friendly materials, green technologies, and sustainable production practices. For instance, a clothing company can market its products by highlighting that they are made from organic cotton or recycled fabrics, using natural dyes, or reducing water consumption during the production process.
Additionally, a hotel can attract eco-conscious guests by promoting its green initiatives such as using renewable energy sources, reducing water waste, and encouraging guests to reuse towels and linens.
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When preparing a flexible budget, the level of activity ______.
When preparing a flexible budget, the level of activity is an important factor to consider.
The level of activity refers to the volume of output or the number of units produced or sold. A flexible budget adjusts for changes in the level of activity by varying the budgeted amounts for variable costs, such as direct materials and labor, and by maintaining the fixed costs at a constant level. Therefore, when preparing a flexible budget, it is necessary to determine the expected level of activity and use it as a basis for developing the budget. This allows for more accurate budgeting and better decision making as the actual level of activity can be compared to the budgeted amounts, and any variances can be analyzed and addressed.
This allows the budget to adapt to different circumstances, making it easier for businesses to respond to fluctuations in demand, production, or other factors that may affect their operations. By varying the level of activity, a flexible budget helps to maintain control over costs and better predict financial performance under different scenarios.
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a transaction has been recorded in the t-accounts of gibbs company as follows: cash 1,500 unearned revenue 1,500 which of the following could be an explanation for this transaction?
The correct option is D, Gibbs has received cash for the provider to be supplied in the future do now not appropriately the transaction as they do not account for the fact that unearned sales have been credited.
A transaction is an exchange of goods, services, or money between two or more parties. It is a fundamental concept in economics and is essential to the functioning of markets. Transactions can take many different forms, from buying a cup of coffee at a local cafe to purchasing a house or a company. They can be conducted in person, over the phone, online, or through other means.
Transactions involve a transfer of something of value from one party to another, which is usually agreed upon through a contract or other formal agreement. The terms of the transaction, including the price, quality, and quantity of the goods or services being exchanged, are negotiated between the parties involved. Transactions can also involve intermediaries, such as banks or brokers, who facilitate the exchange between the parties.
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Complete Question:
A transaction has been recorded inside the T-accounts of Gibbs agency as follows: Cash1,500Unearned revenue 1,500Which of the following is probably an reason for this transaction?
A) coins has been paid out to a organisation which will provide future offerings to Gibbs business enterprise.
B) Gibbs has completed services for which that they had in advance obtained coins in advance.
C) Gibbs has supplied offerings to a patron on account.
D) Gibbs has received coins for provider to be provided within the destiny
The âStrategy Tripodâ consists of three leading perspectives on strategy. Strategy Tripod also explains the external factors determine a firm's strategy, which in turn affects its performance. Discuss âStrategy Tripodâ and provide relevant examples.
The âStrategy Tripodâ consists of three leading of Conditional probability perspectives on strategy. Strategy Tripod also explains the external factors determine a firm's strategy, in turn affects its performance.
A conditional probability is the likelihood that one event will occur while another one is taking place. Let's think about events A and B.
Using the formula P(A and B), the conditional probability of A occurring when B has already happened.
P(A|B) =
P(B) data are now available for all in-store customers who purchase cameras. Let's think about two occasions
C: purchasers of camera cases
T: purchasers of tripods
P(C) = 60% = 0.60 is the likelihood that a client will purchase a camera and case.
The likelihood that a consumer will buy a tripod is P(T) = 40% = 0.40.
The chance that a consumer will buy a case and tripod is P(C= 30% = 0.30).
Probability of customers purchasing only a case without also purchasing a tripod: P (only C) = (60- 30) = 30%.
Complete question:
The âStrategy Tripodâ consists of three leading perspectives on strategy. Strategy Tripod also explains the external factors determine a firm's strategy, which in turn affects its performance. Discuss âStrategy Tripodâ and provide relevant examples?
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you discover that a bank is offering 6.3% interest compounded continuously on a certificate of deposit (cd) that matures in 25 years. what is the cost of a cd at the above interest rate that would provide the same amount of money as the bequest after 25 years?
The cost of a CD that would provide the same amount of money as the bequest after 25 years at a 6.3% interest rate compounded continuously is $2,119.77.
In this case, we want to solve for P the cost of the CD. We know the final amount which is the bequest and we can plug in the other values $A = P(e^(rt)) ,$A = Pe^0.063*25. $A = P 5.08553 We can rearrange the formula to solve for P: P = A/(e^(rt)) P = $10,000/ e^0.063*25 ,P = $2,119.77 So, the cost of the CD that would provide the same amount of money as the bequest after 25 years at a 6.3% interest rate compounded continuously is $2,119.77.
Once you have that value, you can plug it into the formula along with the interest rate 0.063 and time 25 years to find the cost of the CD. Example calculation Let's say you want to achieve $100,000 after 25 years. Using the formula, we can find the cost of the CD ,P = 100,000 / e^0.063 * 25 ,P = 100,000 / 2.71828^1.575, P ≈ 100,000 / 4.823 P ≈ 20,732.64 .So, the cost of a CD at a 6.3% interest rate compounded continuously that would provide the same amount of money as the bequest after 25 years would be approximately $20,732.64.
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jerry is a 20 percent partner in the jjm partnership when he sells his entire interest to lucia for $77,250 cash. at the time of the sale, jerry's basis in jjm is $43,750. jjm does not have any debt or hot assets. what is jerry's gain or loss on the sale of his interest?
Jerry has a gain of $33,500 on the sale of his 20 percent interest in JJM partnership to Lucia.
We need to calculate Jerry's adjusted basis in JJM partnership, which is his original basis of $43,750 increased by his share of partnership income and decreased by his share of partnership losses over the years he was a partner. However, since the question states that JJM has no debt or hot assets, we can assume that there were no adjustments to Jerry's basis. Therefore, Jerry's adjusted basis remains at $43,750.
To calculate the gain or loss on the sale, we subtract Jerry's adjusted basis of $43,750 from the amount realized of $77,250.
$77,250 - $43,750 = $33,500
Jerry's gain on the sale of his interest in JJM partnership to Lucia is $33,500, which is calculated by subtracting his adjusted basis of $43,750 from the amount realized of $77,250.
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Compare the careers in Family and Community Services. Which career requires the most education and other requirements?
therapist
management
child care
social work
The careers in Family and Community Services are known to differ in terms of their educational and other needs such as
TherapistManagement: Child careWhat is the Comparison?A therapist's job needs lots of learning and practice. To ended up a advisor, you ordinarily have to be get a master's or doctoral degree in counseling, social work, or brain research.
In the above manner, To have a career in overseeing family and community administrations, you might got to get a bachelor's or master's degree in things like social work, open organization or commerce organization.
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suppose that purchasing-power parity holds between the united states and mexico. a cup of coffee costs $4 in austin, texas, and 32 pesos in mexico city. a. calculate the exchange rate in pesos per dollar.
If cup of coffee costs $4 in Austin, Texas, and 32 pesos in "Mexico-City", then the "exchange-rate" in pesos per dollar is 8 pesos-per-dollar.
An "Exchange-Rate" is referred to the rate at which "one-currency" can be exchanged for another-currency. It's value of "currency" expressed in terms of "another-currency".
The cost for a cup of coffee in Austin, Texas is $4 and
A cup of coffee costs 32 pesos in Mexico City.
To find the exchange rate in pesos per dollar, we divide the price of a cup of coffee in pesos by the price of a cup of coffee in dollars:
⇒ Exchange rate = (Price of coffee in pesos)/(Price of coffee in dollars);
⇒ Exchange rate = (32 pesos)/($4);
⇒ Exchange rate = 8 pesos per dollar;
Therefore, the exchange rate is 8 pesos-per-dollar.
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