The relationship between the MPC and multiplier is always positive
The multiplier is always between one and infinity, and MPC is always greater than zero and less than one. Fiscal multipliers are generally understood by economists to be the ratio of changes in output to changes in tax receipts or government spending. Fiscal multipliers are crucial because they can direct a government's actions during a financial crisis and pave the way for a subsequent economic recovery. To partially raise the amount of money flowing into the system, a government may reduce taxes or boost spending. Such budgetary management has an additive effect. In other words, it is reasonable to anticipate that every dollar spent will result in an increase in the GDP of more than one dollar.
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ballard company uses the perpetual inventory system. the company purchased $8,600 of merchandise from andes company under the terms 2/10, net/30. ballard paid for the merchandise within 10 days and also paid $310 freight to obtain the goods under terms fob shipping point. all of the merchandise purchased was sold for $16,200 cash. what is the amount of gross margin that resulted from these business events?
The volume of gross margin generated by various business activities $13,820
The gross margin calculation is displayed below;
As we are aware of
Sales revenue minus the cost of goods sold is the gross margin.
where,
$30k in sales were made.
The price of products sold is also
= Purchase - Discount on Purchase + Freight Cost
where,
expenditure is $16,000.
Discount on purchase is $16,000 x 2%, or $320.
And the freight costs come to $500.
The cost of products sold is therefore
= $16,000 - $320 + $500
= $16,180
the gross profit is therefore
= $30,000 - $16,180
= $13,820
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involves developing and performing marketing activities across national boundaries. a. world marketing b. globalized marketing c. international marketing d. customized marketing e. regional marketing
International marketing involves developing and performing marketing activities across national boundaries
What do you mean by international marketing?International marketing is the marketing of products or services outside of your brand's domestic audience. Think of it as a kind of international trade. By expanding into foreign territories, brands can increase brand awareness, grow their global audience and, of course, grow their business.
Why is international marketing important?International marketing enables social and cultural exchange between different countries of the world. With merchandise, current trends and fashions in one country transfer to another, thus developing cultural ties between countries. Thus, cultural integration takes place on a global scale.
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price is the only part of the marketing mix that is revenue producing. group of answer choices true false
The only component of the marketing mix that generates revenue is price.
One of the four main components of the marketing mix is pricing. Pricing is the only part of the marketing mix that brings in money; the other three are cost centers, or they make a company more expensive. The business model is strongly correlated with pricing.
Is price the most crucial component of the marketing mix?
Price is probably the most important part of the marketing mix because it ultimately decides how much money a company makes and how long it stays in business.
Why is cost the most significant of the four Ps?
A product's margin, which includes a portion that can be used for marketing, is determined by its online price. Marketers have more money to market a product if the margins are high.
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which of the following are some details used to evaluate the general economic environment? (choose every correct answer.)
The trade deficit or surplus of The GDP is some details used to evaluate the general economic environment.
A few details used to evaluate the overall monetary environment encompass the GDP and the exchange deficit or surplus.
Economic factors include factors consisting as interest fees, inflation fees, gross domestic product, unemployment prices, stages of disposable earnings, and the overall growth or decline of the financial system.
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Compared to marketing channels for consumer products, business channels exhibit what two characteristics?.
The 2 characteristics of business channels; The channel tends to have confidence in one intermediator or none.
The channel is usually shorter.
Inter- manner "among, among," associate degree intermediator is somebody WHO actions to and fro within the middle location between 2 sides—a "cross-between." Treater (which stocks the medi- root) is usually a word, and then is a facilitator; broking and agent square measure often others.
An intermediator may be a third party that offers intervention offerings between events that involve transfer messages between principals in an exceeding dispute, stopping a direct bit and capability increase of the matter.
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when employees suggest changes in a positive way and make innovative suggestions for change, they are exhibiting:
when employees suggest changes in a positive way and make innovative suggestions for change, voice behavior is exhibited:
Voice conduct refers back to the behavior that proactively situations the status quo and makes constructive modifications. preceding studies have explored the antecedents of personnel' voice conduct, however to whom employees are probably to voice their thoughts has remained not often tested.
voice conduct is difficult and transformative in nature, therefore, voice conduct is regularly accompanied by struggle or hazard, which made employees more careful approximately voice. therefore, employees frequently select to “know but keep silent,” and generally tend to accurately guard themselves. The phenomena are in particular obvious in China’s enterprise, in which concord is valued and with higher electricity distance.
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When jason applied for a job as a heating and air conditioning technician, he was given a malfunctioning compressor and was asked to diagnose the problem. What type of selection tool does this represent?.
Option d.) Work sampling is the correct answer, sampling is the statistical technique used for determining the proportion of time spent by workers in various defined categories of activity.
Occupational sampling is a research technique that observes workers at random times and records their activity. The collected data can be converted into percentages showing the overall distribution of time in different categories.
The actual purpose of the work sample is to determine the percentage of time a worker spends in the various defined job her categories.
Here is the full question -
When Jason applied for a job as a heating and air conditioning technician, he received a faulty compressor and was asked to diagnose the problem. What kind of selection tool does this represent?
A. Application form
B. Personality test
C.Interview
D. Work sampling
E.Evaluation Center
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describe one characteristic of the streaming market that is similar to a characteristic of a perfectly competitive market.
While in perfectly competition, businesses generate somewhat different commodities, in perfect competition, businesses produce identical goods.
Take into account a farmers market where every seller is selling the same brand of jam. perfectly is not much difference between them since they all use the same recipe and set the same price for their goods. The following conditions are considered to be present for a firm to be in ideal competition: Every company in the sector produces the same items, and both buyers and sellers have access to all the information they need to make informed decisions about the goods they are buying and selling.
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g the canning company has been hard hit by increased competition. analysts predict that earnings (and dividends) will decline at a rate of 5% annually into the foreseeable future. if canning's last dividend (d0) was $2.00, and investors' required rate of return is 15%, what will be canning's stock price in 3 years?
The dividend growth model is the one that predicts the price of a stock that pays a perpetual dividend and grows at a constant rate. It is calculated by dividing the expected dividend by the total return less the growth rate.
P3: Current price*(1+Growth rate)3 =8.63636364*(1-0.05)3 =$7.41 (approximate) =D1/(Required return-Growth rate) =(2*(1-0.05)/(0.17-(0.05) =1.9/0.22
What is the model for dividend growth?A mathematical formula called the dividend growth model can be used by investors to figure out what a company's stock is worth based on its current dividend and how much it expects to grow in the future.
The Gordon growth model uses the assumption that a company's payments to its common equity shareholders will always increase to determine a company's stock price.The required rate of return (RoR), dividends per share (DPS), and dividend growth rate are the three primary inputs to the model.
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questioning and answering while business presentation you have worked with the research department to implement the research plan. the team has gathered the data, checked it for accuracy, and coded it for analysis. how should you present your findings so that the vp of marketing can best utilize them? select an option from the choices below and click submit.
Present only those important insights and findings that you think will be useful in the major decisions made by management. By this, you present your findings so that the VP of marketing can best utilize them.
Advertising and marketing is a term that covers a whole gamut of sports aiming to make humans aware of your services and products and convince them to buy the equal. even as marketing is the maximum commonplace manner of advertising, it also entails client research, and product design, in addition to different elements.
The cause of marketing is to attain your audience and speak the blessings of your services or products — so that you can correctly accumulate, hold, and grow customers. So, your advertising and marketing goals need to relate to the particular commercial enterprise objectives your enterprise desires to gain.
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which function will calculate the final value of an investment of $100 a month that earns 4% interest over 5 years?
FV is the future value function will calculate the final value of an investment of $100 a month that earns 4% interest over 5 years.
Investment is the commitment of funds toward the acquisition of an asset with the goal of achieving an increase in value over time. A current asset, like time, money, or effort, must be sacrificed in order to invest. In the world of finance, investing is done to get a return on the asset put up for investment. An asset or item acquired with the intention of generating income or recognition is referred to as an investment. An economic investment is the acquisition of goods that are not consumed right away but are used to create wealth down the road. An asset that is purchased with the hope of earning money, making a profit, or seeing a price increase is called an investment. Return refers to the benefit received from the investment. Returns and risk are inversely correlated. The returns are higher the higher the risk.
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which type of professional investor will have a long investment horizon, have little in liquidity needs, and varying investment objectives based on expected liabilities?
Some investors are extremely risk averse
and prefer safer investments. That higher
reward does not prevent them from taking on the additional risk.
Investment is the commitment of funds to the purchase of an asset with the goal of increasing its value over time. Investment necessitates the sacrifice of some current item, such as time, money, or effort. In finance, the goal of investing is to earn a return on the invested asset. The return may consist of a gain (profit) or loss realized through the sale of a property or investment, unrealized capital appreciation (or depreciation), or investment income such as dividends, interest, or rental income, or a combination of capital gain and income.Investors often expect bigger profits from riskier assets. When a low-risk investment is made, the return is often poor. Similarly, high risk entails a significant possibility of loss.
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over a 20-year period an investment of $1,000 in common stocks returned an average of 11% in nominal terms and 4% in real terms. at the end of the 20 years, the portfolio value was:
The estimated value of all cash flows at a specific date in the future is what is known as an investment's future value (FV).
As part of a retirement and financial planning strategy, investors would be able to recognize their potential wealth thanks to the estimate of FV.
How do I find the value in the future?Using this formula, you can use compound interest to determine the value of the future: The present value times the interest rate times n is the future value. Utilize this formula to determine the value of the future using simple interest: Future value is equal to the present value multiplied by [1] plus the interest rate multiplied by the time.
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consider this) suppose voters pass laws that restrict immigration, which results in lower national output and higher prices for consumer goods. this would be an example of
If we were to consider this: voters pass laws that restrict immigration, which results in decreased national output and increased prices for consumer goods. This would be an example of paradox of voting.
The voting paradox, also known as the Downs paradox, states that for a self-interested, rational voter, the expenses of voting typically outweigh the anticipated benefits.
The predicted advantages of voting are smaller than the costs since the possibility of casting the decisive vote is negligible in comparison to any credible calculation of the private citizen advantages of the several conceivable outcomes.
Reactions to the paradox have consisted of the ideas that voters express their preferences for candidates rather than influencing the election's outcome, that voters show some altruism, or that the paradox overlooks voting's additional benefits besides the outcome of the election.
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the responsibility for positive relationships in the workplace is placed on the hr department. group startstrue or false
The answer is true. In its most basic form, the HR (Human Resources) department is a group in charge of managing the employee life cycle (i.e., recruiting, hiring, onboarding, training, and terminating people) as well as administering employee benefits.
The major responsibility of a human resource manager is to handle a company's administrative functions, which include: Talent acquisition. This includes managing potential candidates, scheduling interviews with qualified individuals, and developing an onboarding process for new hires. Salary and benefits In general, HR processes are made up of a group of 'core processes.' In this view, the main functions of an HR department include crucial themes such as recruitment.
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a mutual fund's holdings are determined to be $1,500,000,000 with $250,000,000 in liabilities and 100,000,000 shares outstanding. what is the funds' nav? you can leave out the dollar sign.
a mutual fund's holdings are determined to be $1,500,000,000 with $250,000,000 in liabilities and 100,000,000 shares outstanding. The fund's nav is 12.5.
In order to take advantage of the inherent benefits of working as a team, such as significantly lowering the risks of the investment, one can invest money alongside other investors through an investment fund. These benefits include the capacity for:
appoint qualified investment managers, who might provide greater returns and better risk management. profit from scale economies, or lower transaction costs. To mitigate some unsystematic risks, improve asset diversity.It is still unknown if professional active investment managers can consistently increase risk-adjusted returns by a sum greater than their fees and costs. Investment funds are frequently referred to as investment pools, collective investment vehicles, collective investment plans, managed funds, or simply funds, but the terminology varies by nation. The legal phrase is collective investment undertaking, often known as an undertaking for collective investment in transferable securities (cf. Law).
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employees at a start-up software company noticed that the owner overlooked certain questionable actions of a few high-billing associates. other employees, who worked hard but only brought in an average number of new clients each month, were highly scrutinized. after you read this chapter about the ethical behavior of many americans, which observation applies here?
After reading the chapter on ethical behavior of Americans the observation is, as is often the case today, some leaders will look at each situation individually when making value judgments.
Ethical behavior refers to acting in a morally correct way. This can include things like being honest, treating others with respect, and not causing harm. Ethical behavior also involves adhering to any relevant laws and regulations.
For some people, it is simply a matter of following their personal code of conduct. Some people may also take actions ethically in order to gain positive benefits, such as praise or admiration from others.
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On august 1, , , inc. , sold equipment and accepted a six-month, %, note receivable. year-end is december 31. How much interest revenue should accrue on december 31, ?.
The correct answer to the given question is $1875. Interest revenue is an entity's earnings from any investments it makes or on the debt it owns.
Interest revenue includes a different, which means reckoning whether or not the accounting system or accounting is employed.
Given that,
Amount of note = $50,000
Time period = 6 months
Interest rate = September 11
Interest amount:
= Principle quantity × rate × period
= $50,000 × 0.09 × (6/12)
= $2,250
Interest increased from 1 August- 31 August Gregorian calendar months:
= (Interest quantity ÷ 6 months) × 5 months
= ($2,250 ÷ 6 months) × 5 months
= $375 × 5 months
= $1,875
Interest revenue represents the quantity of interest an organization attained throughout a selected period.
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a stronger u.s. dollar in the international exchange markets will result in a decrease in aggregate demand (ad). why?
The U.S. aggregate demand curve will be shifted to the left and output demand will be reduced by a stronger currency.
The soaring U.S. dollar, which has reached more than a two-decade high versus the Euro so far this year, is causing changes in the international trade profile of America because it drives down the price of imports for American consumers while driving up the price of exports of American goods. Exports will cost more as a result of the dollar's gain, which will result in a volume reduction. On the other hand, imports will increase in volume as they become more affordable. The overall demand in the US will decline as a result of the rise in imports and decline in exports.
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steven and jane entered into an oral contract which obligated steven to deliver illegal drugs to jane in exchange for $400.00. jane paid the $400.00 to steven who never delivered the illegal drugs to jane, so jane sued steven for breach of contract. what should be the result? a. jane should win because she fully performed what she agreed to do. b. jane should win because steven did not do what he agreed to do. c. steven should win because an oral contract is not enforceable in court. d. steven should win because the contract had an illegal purpose.
steven should win because the contract had an illegal purpose.
when a contract is subject to the frauds statute?First off, unless the agreement is documented in writing, a contract that is subject to a statute of frauds is void. The writing need not be an official written contract. Instead, the text only needs to establish that there was an agreement and list any crucial provisions.Illegal contracts are ones in which one or both parties must carry out an illegal conduct in order to satisfy their obligations. This could not be enforced since the court would not view it as a valid contract. Therefore, illegitimate contracts are void, and if one side breaches the agreement, neither party will be entitled to compensation.To learn more about Illegal contracts refer to:
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when we are forced to make choices, we are facing the concept of: question 10 options: a) ceteris paribus. b) scarcity. c) free goods. d) the margin.
which of the following is an example of a long-run fixed cost? group of answer choices none of these are examples; there are no fixed costs in the long run mortgage payments. payments for production inputs. hourly wage costs.
Payments for production inputs is an example of a long-run fixed cost. Costs known as fixed costs do not change as sales or production volumes rise or fall.
This is because they aren't directly involved in producing a good or providing a service. Fixed costs long-run are expenses that don't change based on volume. In contrast to the quantity produced or sold by your company, fixed costs are typically determined by time. Salaries, utility costs, insurance, rent and lease costs, and loan repayments are a few examples of fixed costs. The phrase "fixed cost" describes a cost that does not change whether a company produces more or fewer things.
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According to the consumer behavior model presented in the text, the ________ includes the shopping experience, point-of-purchase stimuli, and sales interactions.
According to the consumer behaviour model presented in the text, the purchase environment includes the shopping experience, point-of-purchase stimuli, and sales interactions.
The model of customer behavior is what?An analytical framework for describing why and how consumers make decisions about what to buy is known as a consumer behavior model. The purpose of consumer behavior models is to depict a predictable path of consumer choices up until conversion, assisting you in controlling each phase of the buyer's journey.
What is the consumer behavior model proposed by Howard Sheth?The Howard Sheth consumer behavior model's basic tenet is as follows: Stimuli serve as the inputs. The results are attention-based responses to a specific stimulus that culminate in purchases. Variables impacting perception and learning exist between the inputs and the outputs.
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Your factory has been offered a contract to produce a part for a new printer. The contract would last for years and your cash flows from the contract would be million per year. Your upfront setup costs to be ready to produce the part would be million. Your discount rate for this contract is. A. What does the npv rule say you should do? b. If you take the contract, what will be the change in the value of your firm?.
a. The NPV is positive, so the contract should be accepted.
b. The change in the value of the firm would be approximately $5.16 million.
To find the NPV, first, calculate the present value first:
Present value of annuity = Annuity [1 - (1+interest rate)^-time period]/rate
= 4.98 [1 - (1.076)^-3]/0.076
= $12.93 million
NPV = present value of inflows - present value of outflows
= $12.93 million - $7.77 million
= $5.16 million
Since the NPV is positive, based on the NPV rule, the contract should be accepted.
Change of value = increase in the value of the firm. Based on the calculation above, the change in value is approximately a $5.16 million increase.
Your question is incomplete, but most probably your full question was Your factory has been offered a contract to produce a part for a new printer. The contract would last for 3 years and your cash flows from the contract would be $4.98 million per year. Your upfront setup costs to be ready to produce the part would be $7.77 million. Your discount rate for this contract is 7.6 %.
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What might be the benefit of setting up a recurring payment through online bill pay?.
Online bill payment is the practise of paying bills using electronic equipment like computers, tablets, cellphones, and so forth. It is joined to having a checking account that allows electronically withdrew funds for payment of occasional or ongoing bills.
It performs payments.To be completed quickly and efficiently. In addition,Referred to as electronic or automatic bill Payment of bills.You only pay once when you make a one-time payment. You will make multiple payments when you set up recurring payments.Small firms frequently utilise the application software QuickBooks Online to manage their accounting tasks.Therefore, there are two ways for a user to start setting up a recurring transaction in Quickbooks online, and they are as follows:First, a user can choose “make recurring” from a list of options at the bottom of a transaction.A user may choose choose gear and then the recurring transaction as an alternative.
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strategic relationships are beneficial because they help members do which of the following? (choose every correct answer.) Develop joint projectsTake risksAccomplish Goals
Strategic relationships are beneficial because they help members:
Develop joint projectsTake risksAccomplish GoalsWhat are Strategic relationships?Generally, A strategic partnership is a collaboration between two different commercial organizations that is often made official by one or more contracts pertaining to the business.
In most cases, a formal partnership entity, an agency connection, or a corporate affiliate partnership will not be equivalent to a strategic partnership.
The following are some of the ways in which members might benefit from strategic relationships:
Develop joint projectsTake chancesReach Your ObjectivesRead more about Strategic relationships
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which of the following statement is correct? select one: a. errors in the sales budget only affect the revenue side of the business. b. errors in the sales budget affect both the revenue and expense sides of the firm. c. by definition there can be no error in the sales budget. d. all of these. e. none of these.
The firm's revenue and expense sides are both impacted by errors in the sales budget. Hence, the correct choice of answer for this question is option (b).
Give a brief account on sales budget.A planning tool that enables businesses to manage resources and earnings based on anticipated sales is the sales budget. In order to give each department a comprehensive understanding of their financial status, it takes into account historical sales trends and budgets for comparable time periods. Businesses may now accomplish their goals and boost profits more successfully. Setting realistic goals depends heavily on the sales budget. Budgets for sales are essential for controlling costs and establishing targets. Teams advance when they collaborate to achieve growth, even if it's just a simple 1% boost in sales productivity, thanks to clear, precise targets. A sales budget and sales forecasting, which involves predicting future sales revenue, are two different things.
Before beginning your strategy, make sure your components are ready and correct before getting into sales forecasting or budget preparation.
A sales budget consists of :
Income statement: Contains the company's net income and provides a broad financial analysis of how the business is faring.For a specific budgetary period, a balance sheet summarizes a company's liabilities, assets, and equity.Cash received and cash spent for a specific budgetary period are reported in the cash flow statement.Once you've gathered these three documents, you're prepared to create your sales budget.
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shelley has a $180,000, 9%, 15-year loan. using an amortization schedule, what is the principal balance before payment 4 is made?
Prior to the fourth payment being made, the principal balance is $178,558.24.
What is the balance of the principal?At its most basic level, a principal balance is an amount still owed on a loan that must be repaid in order to settle the debt. It does not account for accruing fees or potential interest. Without including any of the interest that must be paid, the main balance is equal to the whole amount initially borrowed less the amount that has already been repaid.
When the entire principal is paid, the loan is considered repaid. Amortization, a term used to describe the process of making interest and principal payments, is typical for mortgages and auto loans. On the principal balance of the loan, interest is assessed.
Calculation:
$180,000 ÷ 1,000 = $180 X 10.15 = $1,827.
Table Factor = 10.15 ((N = 15, i = 9%))
$180,000 × 9% × 1/12 = $1,350.
$1,827 - $1,350 = $477.
Prior to Payment 2, the principal debt was $180,000 - $477 = $179,523.
$179,523 × 9% interest × 1/12 = $1,346.42.
$1,827 - $1,346.42 = $480.58.
The principal balance prior to Payment 3 was $179,523 - $480.58 = $179,042.42.
$179,042.42 x 9% interest × 1/12 = $1,342.82.
$1,827 - $1,342.82 = $484.18.
$179,042.42 - $484.18 = $178,558.24 the principal balance after Payment 3 and before Payment 4.
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If the company pursues the investment opportunity and otherwise performs the same as last year, what margin will it earn this year?.
The company's margin will reach 15 percent this year if the company pursues the investment opportunity. It can be calculated by dividing net operating income with sales.
Marginal cost generally can be defined as the value to provide one additional unit of manufacturing. Marginal cost also can be defined as a crucial idea in price accounting as marginal value helps decide the maximum green stage of manufacturing for a production process. Marginal cost can be calculated by determining what prices are incurred if best one extra unit is manufactured and also what costs are incurred if one extra unit is best.
The margin will be:
Current sales revenue is $1,600,000
Additional sales revenue is $520,000
Total sales revenue is $2,120,000
Net Operating income is $240,000
To find the amount of margin we use this formula:
Margin = Net operating income/sales
Margin = $240,000/$1,600,000
Margin = 0.15
Margin = 15%
Hence, the company's margin will earn 15% in this year.
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you invest $1,000 in a stock that has a 15% chance of a 1% return, a 60% chance of a 5% return and a 25% chance of a 7% return. what is your expected return after one year? 5.3% 4.5% 4.9% 4.3%
4.9% is the expected return after a year.
We put $1,000 into a stock that has a 1% return probability of 15%, a 5% return probability of 60%, and a 7% return probability of 25%.
Given,
Probability 1 = 15%
Return 1 = 1%
Probability 2 = 60%
Return 2 = 5%
Probability 3 = 25%
Return 3 = 7%
To find, Expected return after one year
Expected return = (Probability 1 x Return 1) + (Probability 2 x Return 2) + (Probability 3 x Return 3)
Expected return = (15% x 1%) + (60% x 5%) + (25% x 7%)
Expected return = 0.15% + 3% + 1.75% = 4.9%
Therefore, the Expected return after one year will be 4.9%.
The profit or loss that an investor anticipates from an investment based on previous rates of return and the likelihood of specific returns under various scenarios is known as the anticipated rate of return, also known as Expected return. Using the anticipated return calculation, prospective future returns are projected.
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