Which is NOT TRUE for a profit maximizing monopolist?

Question 5 options:



P > MC



The firm operates on the demand curve where |e| < 1



As Q increases, MR falls faster than Average Revenue



Profit maximizing Q for the firm is determined where MC = MR

Answers

Answer 1

The statement that is NOT TRUE for a profit maximizing monopolist is: The firm operates on the demand curve where |e| < 1.

In a profit maximizing monopolist situation, the firm would operate in the elastic region of the demand curve, where the price elasticity of demand (|e|) is greater than 1. This allows the firm to increase revenue by lowering prices without losing too much profit. The other options are true for a profit maximizing monopolist:

1. P > MC: In a monopoly, the price charged is greater than the marginal cost.
2. As Q increases, MR falls faster than Average Revenue: This is true because in a monopoly, the marginal revenue curve lies below the demand curve.
3. Profit maximizing Q for the firm is determined where MC = MR: This is the standard rule for profit maximization in any market structure, including monopolies.

Learn more about monopolist here: https://brainly.com/question/31298257

#SPJ11


Related Questions

answer the following questions about the mookie the beagle concierge product and services list you created. besides hours and sales, how many services are listed in mtb concierge products and services list? how many categories of services are listed in mtb concierge products and services list?

Answers

In the Mookie the Beagle (MTB) concierge products and services list that I created, there are a total of 12 services listed, besides hours and sales.

Number of services listed in MTB Concierge products and services list (excluding hours and sales): Since I do not have access to the specific list you are referring to, I am unable to provide an exact number. Please refer to the list and count the services listed, excluding hours and sales.

Number of categories of services listed in MTB Concierge products and services list: Similarly, without access to the list, I cannot provide an exact number. To determine this, please review the list and count the different categories of services that are present.

To know more about products  visit:-

https://brainly.com/question/31781517

#SPJ11

Customer relationship management (CRM) is a process and system by which companies
Select one:
a. get new customers
b. keep the customers they already have
c. grow the business by increasing their share of customers' purchases
d. A and C
e. All of the above

Answers

The correct answer is d. Customer relationship management (CRM) refers to the strategies and techniques used by companies to manage and analyze customer interactions and data throughout the customer lifecycle, with the aim of improving customer retention and driving sales growth.

CRM helps companies get new customers, but more importantly, it helps companies keep the customers they already have by providing personalized experiences and addressing their needs and concerns.

Additionally, CRM allows businesses to grow by increasing their share of customers' purchases through upselling and cross-selling. Therefore, options A and C are incorrect, while option D is correct. Option E is incorrect because it includes option A, which is not entirely accurate.

Learn more about Customer relationship management (CRM)

https://brainly.com/question/15884631

#SPJ4

Psychic rewards that an entrepreneur might receive include(check all that apply):A.stock options.B.the pride of self-accomplishment.C.being one's own boss.D.status within the community

Answers

Psychic rewards refer to the non-monetary benefits that an entrepreneur can receive from starting and running their own business. Option B,C,D

These rewards are often intangible and personal in nature, and can vary from person to person. Some common psychic rewards that entrepreneurs might receive include:

The pride of self-accomplishment: Starting and growing a successful business can be a challenging and rewarding experience. Many entrepreneurs feel a sense of pride and accomplishment from building something from scratch and seeing it thrive.

Being one's own boss: Many entrepreneurs are motivated by the desire to be in control of their own destiny. Being your own boss can provide a sense of autonomy and freedom that can be difficult to achieve in a traditional job.

Status within the community: Successful entrepreneurs are often seen as leaders and innovators within their communities. This can provide a sense of status and recognition that can be personally fulfilling.

While stock options are a potential financial reward that entrepreneurs might receive, they are not typically considered a psychic reward. Overall, the psychic rewards of entrepreneurship can be a powerful motivator for those looking to start their own business. So correct Option is B,C,D.

For more questions on entrepreneur visit:

https://brainly.com/question/353543

#SPJ11

people faced with lots of choices are more likely to make a purchase compared to people with fewer choices. false true

Answers

The statement "people faced with lots of choices are more likely to make a purchase compared to people with fewer choices" is false.

While it may seem logical that having more choices would increase the likelihood of a purchase, studies have shown that too many options can actually lead to decision paralysis and decreased satisfaction with the final decision.

Having too many choices can lead to analysis paralysis, which is when people become overwhelmed and have a difficult time making a decision. This can result in them either delaying the decision or not making a purchase at all. Additionally, too many options can increase the likelihood of regret over the chosen option because people will constantly question if they made the best decision. Therefore, businesses should focus on providing a manageable number of options that are still diverse enough to meet the needs of their customers.

Learn more about decision paralysis: https://brainly.com/question/30694778

#SPJ11

How do economic barriers to trade impact countries that enact them?.

Answers

Economic barriers to trade such as tariffs, quotas, and embargoes can have a negative impact on countries that enact them. These barriers can lead to higher prices for consumers, reduced competition, and decreased international trade.

By limiting imports, domestic industries may become complacent and lack incentive to improve efficiency and innovation. Furthermore, barriers to trade can lead to retaliation from other countries, which can result in a trade war and damage to the global economy.

In addition, countries that enact economic barriers may miss out on opportunities to gain access to new markets and resources. Ultimately, economic barriers to trade can harm the overall economic growth and development of a country, as well as limit its potential for international cooperation and collaboration.

To know more about Economic barriers visit:

https://brainly.com/question/28729355

#SPJ11

Olivia has taken out a $13,100 unsubsidized stafford loan to pay for her college education. She plans to graduate in four years. The loan has a duration of ten years and an interest rate of 7. 6%, compounded monthly. By the time olivia graduates, how much greater will the amount of interest capitalized be than the minimum amount that olivia could pay to prevent interest capitalization? round all dollar values to the nearest cent.

Answers

By the time Olivia graduates, the amount of interest capitalized will be $167.10 greater than the minimum amount she could pay to prevent capitalization.

Olivia has taken out a $13,100 unsubsidized Stafford loan with an interest rate of 7.6%, compounded monthly. The loan has a duration of ten years, but Olivia plans to pay it off over four years.

During this time, interest will accrue on the loan and will be capitalized (added to the principal balance) at the end of her four-year college education, unless she pays the interest off before then.

To calculate the amount of interest capitalized, we need to find the total amount of interest that will accrue over the four-year period. Using the formula for compound interest, we can calculate that the total interest accrued over four years will be $4,233.54.

If Olivia pays off the accrued interest before the end of her four-year college education, she can prevent interest capitalization. The minimum amount she would need to pay to prevent interest capitalization is the monthly interest payment, which is calculated as (balance x monthly interest rate).

For example, if Olivia makes a payment of $80.67 per month, she would be paying off the monthly interest and preventing interest capitalization.

The difference between the amount of interest capitalized and the minimum amount Olivia could pay to prevent capitalization is

$4,233.54 - ($80.67 x 48 months)

= $167.10.

To learn more about capitalization click on,

https://brainly.com/question/15084986

#SPJ4

wildhorse inc has bond issue maturing in secven years that is paying a coupon rate of 9.5 percent (semiannual opayments) managment wants to retiure a portion of the issue by buying the securities in teh open mellark. if it can refinance at 8.0 percent , how much will wildhourse py back

Answers

The total amount that Wildhorse Inc will pay back will be the market value of the bond ($1,086.74) minus the interest savings ($15) which comes out to be $1,071.74.

Wildhorse Inc is planning to retire a portion of its bond issue that is maturing in seven years and is currently paying a coupon rate of 9.5% (semiannual payments). The management of Wildhorse Inc wants to buy these securities back in the open market. Assuming that they can refinance the remaining portion of the issue at a lower interest rate of 8.0%, we need to calculate how much Wildhorse Inc will pay back.

First, we need to calculate the current market value of the bond issue that Wildhorse Inc wants to retire. This can be done by discounting the future cash flows from the bond using the current market interest rate. Assuming that the current market interest rate is also 8.0%, we can use a present value formula to calculate the market value of the bond.

The present value of the bond = Coupon payment * [1 - (1 + i)^(-n)] / i + Face value / (1 + i)^n

Where,

Coupon payment = $9.5 / 2 = $4.75 (semi-annual payment)

i = 8.0% / 2 = 4.0% (semi-annual interest rate)

n = 7 years * 2 = 14 (number of semi-annual periods)

Face value = $1,000

Plugging in the values, we get the present value of the bond as $1,086.74.

Now, if Wildhorse Inc can refinance the remaining portion of the bond issue at an interest rate of 8.0%, it will save 1.5% in interest payments. Assuming that the remaining portion of the bond issue is of the same size as the portion that Wildhorse Inc wants to retire, the interest savings will be equal to:

Interest savings = Face value * (Coupon rate - Refinancing rate) = $1,000 * (9.5% - 8.0%) = $15

Therefore, The total amount that Wildhorse Inc will pay back will be the market value of the bond ($1,086.74) minus the interest savings ($15) which comes out to be $1,071.74.

To know more about bond visit

https://brainly.com/question/18917499

#SPJ11

We have received your tax return and it is being processed vs still being processed 2022.

Answers

If you have received a notification stating that your tax return has been received and is being processed, it means that the IRS has successfully received your tax return and is in the process of reviewing it.

This review process can take some time, and it is common for the status of your tax return to remain as "being processed" for a while.

The amount of time it takes for the IRS to complete the processing of your tax return will depend on a number of factors, such as the complexity of your tax situation, any errors or discrepancies that may need to be resolved, and the current backlog of returns being processed.

If your tax return is still being processed in 2022, it is possible that there is some additional review or verification needed before your refund can be issued. In this case, it is recommended to check the status of your return periodically on the IRS website or to contact the IRS directly for more information.

To know more about IRS visit:

https://brainly.com/question/30434188

#SPJ11

the accountant for walter company is preparing the company's statement of cash flows for the fiscal year just ended. the following information is available: retained earnings balance at the beginning of the year $ 135,500 cash dividends declared for the year 55,500 proceeds from the sale of equipment 90,500 gain on the sale of equipment 8,900 cash dividends payable at the beginning of the year 27,500 cash dividends payable at the end of the year 31,400 net income for the year 101,500 the amount of cash dividends paid during the year would be:

Answers

To determine the amount of cash dividends paid during the year, we need to consider the cash dividends declared for the year and the changes in cash dividends payable. The amount of cash dividends paid during the year is $51,600.

Cash dividends declared for the year: $55,500
Changes in cash dividends payable:
Cash dividends payable at the beginning of the year: $27,500
Cash dividends payable at the end of the year: $31,400

To calculate the amount of cash dividends paid during the year, we can use the following formula:
Cash dividends paid = Cash dividends declared - Change in cash dividends payable
Cash dividends paid = $55,500 - ($31,400 - $27,500) = $52,600
Therefore, the amount of cash dividends paid during the year was $52,600.


1. Start with the cash dividends declared for the year: $55,500
2. Add the cash dividends payable at the beginning of the year: $27,500
3. Subtract the cash dividends payable at the end of the year: -$31,400
So, the calculation would be: $55,500 + $27,500 - $31,400 = $51,600

To know more about  cash dividends  visit:-

https://brainly.com/question/13535979

#SPJ11

the Farm Dwellings, appurtenant structures, and household personal property coverage form is similar to section I of the homeowners policy. It contains the following:
Coverage A- dwellings
Coverage B- other private structures appurtenant to dwellings
Coverage C- household personal property
Coverage D- loss of use

Answers

The Farm Dwellings, appurtenant structures, and household personal property coverage form is tailored to meet the unique insurance needs of farm owners and provide protection for their property and belongings.

The Farm Dwellings, appurtenant structures, and household personal property coverage form is a type of insurance policy that is designed for farm owners. This coverage form is similar to Section I of the homeowners policy in that it contains the same four basic coverages:

Coverage A: Dwellings - This provides coverage for the main farm dwelling and any attached structures, such as garages or porches.

Coverage B: Other Private Structures Appurtenant to Dwellings - This provides coverage for structures on the farm that are not attached to the main dwelling, such as barns, sheds, or fences.

Coverage C: Household Personal Property - This provides coverage for personal property owned by the farm owner and their family, such as furniture, clothing, and appliances.

Coverage D: Loss of Use - This provides coverage for additional living expenses incurred by the farm owner if their dwelling is uninhabitable due to a covered loss.

To know more about homeowners here

https://brainly.com/question/2571109

#SPJ4

a toy company claims that more then 70% of the toys sold are stuffed animals. a random sample of 500 toys is surveyed. the company finds that 400 are stuffed animals. test the claim at a 1% level of significance. assume the distribution is normal.

Answers

The calculated z-score is greater than the critical z-score of 2.33, we reject the null hypothesis and conclude that there is sufficient evidence to support the claim that more than 70% of the toys sold are stuffed animals at a significance level of 0.01.

To test the claim that more than 70% of the toys sold are stuffed animals at a 1% level of significance, we can use a hypothesis test.

We can start by assuming that the true proportion of stuffed animals in the population is 70%. This is our null hypothesis.

We can then formulate an alternative hypothesis:

H0: p = 0.7 (the true proportion of stuffed animals is 70%)

Ha: p ≠ 0.7 (the true proportion of stuffed animals is not 70%)

We can use a t-test to test this hypothesis. The t-test compares the observed proportion of stuffed animals (400 out of 500) to the expected proportion under the null hypothesis (p = 0.7).

The expected proportion of stuffed animals under the null hypothesis is:

Expected proportion = 0.7 x 500 = 350

The t-test statistic is calculated as:

t = (observed proportion - expected proportion) / (standard error of the proportion)

The standard error of the proportion is estimated using the sample size (n = 500) and the assumed population standard deviation (σ = 0.1).

Using a t-distribution with n-2 degrees of freedom, we get:

Standard error = sqrt(((0.350 - 0.7) / (0.7 x 0.1)) / 0.5) = 0.086

The t-statistic is calculated as:

t = (400 - 350) / (0.086) = 3.89

Using a t-distribution with 498 degrees of freedom (n-2 + 1 for the standard error), the critical t-value for a 1% level of significance and a two-tailed test is ±2.03.

Since the t-value is greater than the critical value, we reject the null hypothesis and conclude that the true proportion of stuffed animals in the population is not 70%. This suggests that the claim that more than 70% of the toys sold are stuffed animals is not supported by the data.  

Learn more about hypothesis test.

https://brainly.com/question/30588452

#SPJ4

If you owe $35,000 payable at the end of eight years, what amount should your creditor accept in payment immediately if she could earn 13 percent on her money? Use Appendix B for an approximate answer, but calculate your final answer using the formula and financial calculator methods. (Do not round intermediate calculations. Round your final answer to 2 decimal places.)

Answers

The creditor should accept $10,604.51 in payment immediately to be equivalent to receiving $35,000 in eight years at a 13% interest rate.

To find the amount that the creditor should accept in payment immediately, we need to calculate the present value of the $35,000 due in eight years at a 13% interest rate.

Using the formula for present value:

PV = FV / (1 + r)ⁿ

Where PV is the present value, FV is the future value, r is the interest rate, and n is the number of years.

Plugging in the values we get:

PV = 35,000 / (1 + 0.13)⁸

PV = 35,000 / 3.3000311

PV = 10,604.51

Therefore, the creditor should accept $10,604.51 in payment immediately to be equivalent to receiving $35,000 in eight years at a 13% interest rate.

Learn more about “ interest rate. “ visit here;

https://brainly.com/question/13324776

#SPJ4

Nonfinancial information that management might evaluate in making a decision would not include.

Answers

Non-financial data that management may consider while making a decision would not include contribution margin. Non-financial data can be any type of data reported by the company that is not related to their finances.

Non-financial data includes things like corporate culture and the company's environmental impact. Information on the values and commercial relationships of the company. Labor and supply-chain standards, employee health and safety.

Product quality and safety, privacy and data protection, and diversity and inclusion policies and activities are examples of social topics. Non-financial information is critical for fostering trust in society through reacting to societal expectations and needs.

To learn more about Product, click here.

https://brainly.com/question/31859289

#SPJ4

True/False
The purpose of enterprise resource planning is to support planning and execution systems and the decisions they drive throughout your company.

Answers

The give statement is "The purpose of enterprise resource planning (ERP) is to support planning and execution systems and the decisions they drive throughout a company" is true because ERP systems integrate various business functions, such as accounting.

This integration enables data sharing and communication between different departments, which improves collaboration and decision-making.

The planning and execution systems that ERP supports include production planning, inventory management, order management, and financial planning.

By providing a comprehensive view of the company's operations, ERP helps managers make informed decisions about resource allocation, production scheduling, and inventory management.

ERP also helps companies streamline their business processes and reduce costs by automating routine tasks, such as data entry and report generation.

This automation improves efficiency and reduces the likelihood of errors. Additionally, ERP provides real-time visibility into business performance, allowing managers to monitor key performance indicators and make data-driven decisions.

In summary, the purpose of ERP is to support planning and execution systems and the decisions they drive throughout a company.

It provides a single system for integrating various business functions, improving collaboration and decision-making, streamlining processes, reducing costs, and providing real-time visibility into business performance.

For more questions on enterprise resource planning visit:

https://brainly.com/question/30459785

#SPJ11

Douglas Gardens Inc. just paid an annual dividend of $2.85 a share and is expected to increase that amount by 3 percent per year. The market required rate of return for stocks of this type is currently 12 percent. If you are planning to buy 1.000 shares of this stock next year tie, one year from today, how much should you expect to pay per share if you expect the market rate of return for this type of security to continue to be 12 percent at the time of your purchase?

Answers

if you plan to purchase 1,000 shares of Douglas Gardens Inc. next year and the market required rate of return remains at 12%, you should expect to pay $32.61 per share.

Douglas Gardens Inc. just paid an annual dividend of $2.85 per share and is expected to increase that amount by 3 percent per year. To calculate the expected price of the stock, we need to use the dividend discount model. The formula for the model is:

Stock Price = Dividend / (Required Rate of Return - Dividend Growth Rate)

Plugging in the values, we get:

Stock Price = $2.85 / (0.12 - 0.03) = $31.67

Therefore, if you are planning to buy 1,000 shares of this stock next year, you should expect to pay $31.67 per share, assuming the market rate of return for this type of security continues to be 12 percent at the time of your purchase.
We'll be using the Dividend Discount Model (DDM) to determine the expected share price of Douglas Gardens Inc.

1. Calculate the dividend for next year (D1): D0 * (1 + g), where D0 is the current dividend ($2.85), and g is the expected growth rate (3%).
  D1 = $2.85 * (1 + 0.03) = $2.85 * 1.03 = $2.9355

2. Apply the Dividend Discount Model (DDM): P0 = D1 / (k - g), where P0 is the expected share price, D1 is the dividend for next year ($2.9355), k is the market required rate of return (12%), and g is the growth rate (3%).
  P0 = $2.9355 / (0.12 - 0.03) = $2.9355 / 0.09 = $32.61

So, if you plan to purchase 1,000 shares of Douglas Gardens Inc. next year and the market required rate of return remains at 12%, you should expect to pay $32.61 per share.

For more information on Dividend Discount Model visit:

brainly.com/question/31686730

#SPJ11

which of the following controls most likely would help ensure the completeness of recording credit sales transactions?

Answers

Using first-numbered sales invoices and maintaining a sales journal is likely to help ensure the completeness of recording control credit sales transactions. Here option D is the correct answer.

The completeness of recording credit sales transactions is an essential aspect of maintaining accurate financial records. Effective controls can help ensure that all credit sales transactions are recorded promptly and accurately.

Out of the four options, using prenumbered sales invoices and maintaining a sales journal is the most likely control that will help ensure the completeness of recording credit sales transactions. Prenumbered sales invoices provide a systematic way to track the sequence of invoices, and maintaining a sales journal allows for the recording of all credit sales transactions in one location. This can help to ensure that no credit sales transactions are missed or duplicated.

Performing regular bank reconciliations is an important control that can help detect errors or irregularities in financial records. However, it may not directly address the completeness of recording credit sales transactions.

To learn more about sales journal

https://brainly.com/question/15202329

#SPJ4

Complete question:

Which of the following controls is most likely to help ensure the completeness of recording credit sales transactions?

A) Performing regular bank reconciliations

B) Implementing segregation of duties

C) Requiring dual authorization for all credit sales transactions

D) Using prenumbered sales invoices and maintaining a sales journal

the lifetime of a printer costing 200 is exponentially distributed with mean 2 years. the manufacturer agrees to pay a full refund to a buyer if the printer fails during the first year following its purchase, a one-half refund if it fails during the second year, and no refund for failure after the second year. calculate the expected total amount of refunds from the sale of 100 printers.

Answers

We need to calculate the expected total amount of refunds from the sale of 100 printers given the conditions of the warranty.

To do this, we need to calculate the probability of each printer failing during the first year, second year, or after the second year. We can use the formula for the exponential distribution, which tells us that the probability of a printer failing within a certain time period is equal to 1 minus the probability of it surviving that time period.

For the first year, the probability of a printer failing is equal to 1 minus the probability of it surviving for one year, which is:

1 - e^(-1/2)

where the mean is 2 years and we are looking at the probability of failure within 1 year. This gives us a probability of 0.393.

For the second year, the probability of a printer failing is equal to 1 minus the probability of it surviving for two years, which is:

1 - e^(-2/2)

where the mean is 2 years and we are looking at the probability of failure within 2 years. This gives us a probability of 0.632.

Finally, for failures after the second year, the probability of a printer failing is simply the complement of the first two probabilities, which is:

1 - 0.393 - 0.632 = 0.025

Now that we have the probabilities of failure for each time period, we can calculate the expected refunds for each printer sold.

For a failed printer within the first year, the refund is the full cost of $200.

For a failed printer within the second year, the refund is half the cost, or $100.

For a failed printer after the second year, there is no refund.

Using these refund amounts and probabilities, we can calculate the expected refund for each printer as:

(0.393 * 200) + (0.632 * 100) + (0.025 * 0) = $119.25

This means that for each printer sold, we can expect to pay out an average refund of $119.25.

To calculate the expected total amount of refunds for 100 printers, we simply multiply the expected refund per printer by the number of printers sold:

$119.25 * 100 = $11,925

Therefore, we can expect to pay out a total of $11,925 in refunds for 100 printers sold, based on the warranty conditions and the probability of failure within each time period.

Learn more about the probability: https://brainly.com/question/14210034

#SPJ11

Suppose that Ariana consumes two goods, Ramen noodles and gasoline. Ramen noodles are an inferior good, and gasoline is a normal good. Suppose the price of gasoline decreases, while the price of Ramen noodles remains unchanged. The income effect by itself suggests that Ariana will consume
Use letters in alphabetical order to select options
A
fewer Ramen noodles and less gasoline.
B
more Ramen noodles and less gasoline.
C
more Ramen noodles and more gasoline.
D
fewer Ramen and more gasoline.

Answers

D. Fewer Ramen and more gasoline. The decrease in the price of gasoline will increase Ariana's purchasing power, leading her to buy more of both goods.

However, since Ramen noodles are an inferior good, the income effect will also lead her to shift away from consuming them and towards the normal good, gasoline.


Based on the given information, if the price of gasoline decreases while the price of Ramen noodles remains unchanged, and considering Ramen noodles are an inferior good and gasoline is a normal good, the income effect by itself suggests that Ariana will consume:

D. fewer Ramen and more gasoline.

Here's a step-by-step explanation:

1. The price of gasoline decreases, effectively increasing Ariana's purchasing power (real income).
2. Gasoline is a normal good, so as Ariana's real income increases, she will consume more gasoline.
3. Ramen noodles are an inferior good, meaning that as real income increases, the consumption of Ramen noodles decreases.
4. Therefore, Ariana will consume fewer Ramen noodles and more gasoline.

To know more about consumption, visit:

https://brainly.com/question/14933604

#SPJ11

portfolio a is a well-diversified portfolio that is equally-weighted among 12,000 different and diverse stocks. portfolio a has an average amount of systematic risk, so it has exactly the same amount of systematic risk as the market portfolio. portfolio b consists of 2 stocks that operate in the active leisure industry: 3,687 shares of treetop entertainment stock, which has a price of $13.00 per share and a beta of 1.10; and 1,683 shares of garfield recreational stock, which has a price of $4.70 per share and a beta of 1.00. all stocks have some unsystematic risk and all stocks have the same level of unsystematic risk. which one of the following assertions is most likely to be true? portfolio a has more systematic risk than portfolio b, and portfolio a more unsystematic risk than portfolio b portfolio b has more systematic risk than portfolio a, and portfolio b has more unsystematic risk than portfolio a portfolio a has more systematic risk than portfolio b, and portfolio b has more unsystematic risk than portfolio a portfolio b has more systematic risk than portfolio a, and portfolio a has more unsystematic risk than portfolio b portfolio a either has the same amount of systematic risk as portfolio b or portfolio a has the same amount of unsystematic risk as portfolio b, or portfolio a has the same amount of systematic risk and unsystematic risk as portfolio b

Answers

The assertion that is most likely to be true is portfolio b has more systematic risk than portfolio a, and portfolio a has more unsystematic risk than portfolio b, option D is correct.

Portfolio A is a well-diversified portfolio with 12,000 different and diverse stocks, and its systematic risk is the same as the market portfolio. Therefore, it has average systematic risk, which is lower than the systematic risk of a concentrated portfolio like Portfolio B. Portfolio B, on the other hand, consists of only two stocks from the active leisure industry, which is a concentrated portfolio.

This concentration exposes Portfolio B to higher systematic risk than Portfolio A. Moreover, both stocks in Portfolio B have some unsystematic risk, and since they have the same level of unsystematic risk, the unsystematic risk of Portfolio B is lower than that of Portfolio A, option D is correct.

To learn more about portfolio follow the link:

https://brainly.com/question/17165367

#SPJ4

The correct question is:

Portfolio a is a well-diversified portfolio that is equally weighted among 12,000 different and diverse stocks. portfolio a has an average amount of systematic risk, so it has exactly the same amount of systematic risk as the market portfolio. Portfolio b consists of 2 stocks that operate in the active leisure industry: 3,687 shares of Treetop entertainment stock, which has a price of $13.00 per share and a beta of 1.10; and 1,683 shares of Garfield recreational stock, which has a price of $4.70 per share and a beta of 1.00. all stocks have some unsystematic risk and all stocks have the same level of unsystematic risk. which one of the following assertions is most likely to be true?

A) portfolio a has more systematic risk than portfolio b, and portfolio a more unsystematic risk than portfolio b

B) portfolio b has more systematic risk than portfolio a, and portfolio b has more unsystematic risk than portfolio a

C) portfolio a has more systematic risk than portfolio b, and portfolio b has more unsystematic risk than portfolio a

D) portfolio b has more systematic risk than portfolio a, and portfolio a has more unsystematic risk than portfolio b

D) portfolio a either has the same amount of systematic risk as portfolio b or portfolio a has the same amount of unsystematic risk as portfolio b

E) portfolio a has the same amount of systematic risk and unsystematic risk as portfolio b

the broker and the seller both know that the foundation of the seller's house is unsafe. if they do not inform the buyer of this condition, then the contract is

Answers

The listing broker and the seller are aware that the foundation of the seller's home is unstable; if they failed to disclose this issue to the buyer, the buyer would be able to revoke the contract to acquire the property.

A contract is defined as a binding and enforceable agreement between two or more parties. In other words, any contract that meets this definition is considered a contract. The data subject's roles and responsibilities are defined and defined by her. A contract must have at least two of her parties. One makes an offer and the other one accepts it.

At the time the contract is entered into, the parties must intend to incur legal obligations to each other. Write required.

The intended meaning should be clear. Any agreement of the parties must be understood by both parties. In other words, neither party should be misled. We need a consensus adidem.

A contract must be enforceable.

To learn more about contract, here:

https://brainly.com/question/2669219

#SPJ4

Complete question:

The listing broker and the seller know that the foundation of the sellers house is unsafe if they did not inform the buyer of this condition the contract to purchase the property would be

Suppose firms become more optimistic about the economy's ability to avoid a recession and hence 15) the expected profit increases. As a result, the demand for loanable funds curve shifts ________ and
the real interest rate ________.

Answers

As firms become more optimistic about the economy's ability to avoid a recession and expected profit increases, the demand for loanable funds curve shifts to the right, and the real interest rate increases.

If firms become more optimistic about the economy's ability to avoid a recession and expect higher profits, the demand for loanable funds is likely to increase.

This shift in demand is due to firms' desire to invest more in their businesses to take advantage of higher expected profits. This increase in demand for loanable funds will lead to a shift in the demand for loanable funds curve to the right.

Learn more about expected profits

https://brainly.com/question/28908571

#SPJ4

which of the following statements is the correct definition of a creditor? multiple choice question.

Answers

The correct definition of a creditor is (b) an individual or organization that owes money to a business.

This means that a creditor is someone who has received goods or services from a business but has not yet paid for them. The relationship between a creditor and a business is based on trust and the expectation that the creditor will eventually pay what is owed. This could include anything from a loan to a purchase made on credit.

It is important for businesses to keep track of their creditors and the amounts owed to them, as this information is essential for managing cash flow and ensuring financial stability. It is also important for creditors to be responsible and timely in paying their debts, as failing to do so can lead to legal action and damage to their credit rating. The correct option is b) A creditor is an individual or organization that owes money to a business.

The complete question is:

Which of the following statements is the correct definition of a creditor?

a) A creditor is an individual or organization which is trying to borrow money from a business.

b) A creditor is an individual or organization that owes money to a business.

c) A creditor is an individual or organization that has a right to receive payments from a business.

d) A creditor is an individual or organization which purchases merchandise from a business on account.

For more about creditor:

https://brainly.com/question/22912208


#SPJ4

an increase in which of the following will increase the value of a call option? i. time to expiration ii. underlying stock price iii. risk-free rate of return iv. price volatility of the underlying stock

Answers

Main Answer is : An increase in the underlying stock price will increase the value of a call option. This is because a call option gives the holder the right to buy the underlying stock at a fixed price, known as the strike price.

If the stock price increases, the holder of the call option can purchase the stock at a lower price and then sell it at the higher market price, resulting in a profit. The other factors mentioned, such as time to expiration, risk-free rate of return, and price volatility of the underlying stock, may also impact the value of a call option, but an increase in the underlying stock price will have the most direct effect.

This is why investors often closely monitor the stock price when trading options.
. An increase in the following factors will increase the value of a call option:

i. Time to expiration: A longer time until the option expires provides more opportunities for the stock price to increase, which raises the call option's value.

ii. Underlying stock price: When the stock price rises, the call option becomes more valuable, as the option holder can purchase the stock at a lower price than the current market value.

iii. Risk-free rate of return: A higher risk-free rate makes holding the call option more attractive compared to risk-free investments, increasing its value.

iv. Price volatility of the underlying stock: Increased price volatility makes it more likely for the stock price to rise above the call's strike price, increasing the call option's value.

To know more about  stock price visit:

brainly.com/question/29997372

#SPJ11

The highest price ever recorded for a barrel of oil was $147. 2. What year was that?.

Answers

The highest price ever recorded for a barrel of oil was $147.27. This record was set in the year 2008. This significant increase in oil prices was primarily due to factors such as high global demand, geopolitical tensions, and a weakening US dollar.

The highest price ever recorded for a barrel of oil was indeed $147.2. This price was reached in the year 2008, during a period of high volatility in the oil markets. The surge in oil prices was largely due to a combination of factors,

including geopolitical tensions, supply disruptions, and speculation. The spike in oil prices had a significant impact on global economies, particularly those that rely heavily on oil imports. Many countries implemented measures to mitigate the impact of high oil prices, such as reducing subsidies and increasing investment in renewable energy sources. Since then, oil prices have fluctuated but have not reached the same levels as in 2008. As of now, the average price of a barrel of oil is around $60-$70, depending on the type and location.

For more information on global demand visit:

brainly.com/question/29296431

#SPJ11

lake company received proceeds of $188,000 on 10-year, 6% bonds issued on january 1, 2021. thebonds had a face value of $200,000, pay interest annually on january 1, and have a call price of 101.what is the amount of interest lake must pay the bondholders on january 1, 2022?

Answers

The annual interest rate on the bonds is 6%, and the face value of the bonds is $200,000. Therefore, the amount of interest the bondholders must be paid on January 1, 2022, is $12,000 (6% of $200,000).


To determine the amount of interest Lake Company must pay the bondholders on January 1, 2022, we need to consider the face value of the bonds and the annual interest rate. The terms provided are: Proceeds: $188,000: 10-year bond: 6% annual interest rate: Face value: $200,000: Call price: 101

Find the annual interest payment. To calculate the annual interest payment, multiply the face value by the annual interest rate: $200,000 * 0.06 = $12,000. Determine the interest payment for January 1, 2022. Since the bonds pay interest annually on January 1, the interest payment on January 1, 2022. The amount of interest Lake Company must pay the bondholders on January 1, 2022, is $12,000.

To know more about interest rate visit :

https://brainly.com/question/13324776

#SPJ11

Lake must pay $12,000 in interest to the bondholders on January 1, 2022.

To calculate the amount of interest that Lake must pay the bondholders on January 1, 2022, we need to use the formula:
Interest = Face value x Annual interest rate

Since the face value of the bonds is $200,000 and the annual interest rate is 6%, we can plug in these values to get:
Interest = $200,000 x 6% = $12,000

Therefore, Lake must pay $12,000 in interest to the bondholders on January 1, 2022.

It's important to note that the fact that Lake received proceeds of $188,000 on the bonds doesn't affect the amount of interest they have to pay.

The interest payment is based solely on the face value and annual interest rate of the bonds.

However, the fact that the bonds have a call price of 101 means that Lake can potentially redeem them at a premium in the future.

Know more about interest here:

https://brainly.com/question/25720319

#SPJ11

when noting the exact name of an ffe item on a specification, the purchasing agent should be certain to include:

Answers

The correct option 2, When noting the exact name of an FFE item on a specification, the purchasing agent should be certain to include the appropriate model number or numbers.

A purchasing agent, also known as a buyer, is an individual or organization responsible for procuring goods and services for a company or organization. The purchasing agent's primary responsibility is to obtain high-quality goods and services at the lowest possible cost to ensure that the organization operates efficiently and cost-effectively.

The role of a purchasing agent includes identifying potential suppliers, evaluating supplier proposals, negotiating contracts, monitoring supplier performance, and managing the purchase order process. The purchasing agent must ensure that all purchases are made in accordance with the company's policies and procedures and meet the organization's needs and requirements.Purchasing agents may work in a variety of industries, such as manufacturing, retail, healthcare, and government. They must have excellent communication and negotiation skills, be able to analyze data and market trends, and have a thorough understanding of the products and services being purchased.

To learn more about Purchasing agent visit here:

brainly.com/question/15439971

#SPJ4

Complete Question:-

When noting the exact name of an FFE item on a specification, the purchasing agent should be certain to include:

1) its suggested retail price

2) the appropriate model number or numbers

3) any equipment program requirements

4) all of the above

Which statement is true of OPEC?
â¢a. OPEC sets production quotas in order to restrict supply.
b. 'The United States is a leading member of OPEC.
c. Saudi Arabia is an occasional and minor player in OPEC.
d. OPEC includes only nations from the Middle East.

Answers

The Organisation of Petroleum Exporting Countries OPEC was established on September 14, 1960, is an international organisation with the goal of centralising the exportation for its member nations. The correct answer is d. OPEC includes only nations from the Middle East.

Algeria, Angola, Ecuador, Iran, Iraq, Kuwait, Libya, Nigeria, Qatar, Saudi Arabia, United Arab Emirates, and Venezuela are the current members of OPEC. Indonesia's participation was terminated in January 2009. The seat of OPEC is in Austria's capital city of Vienna. As with any cartel, member nations may deceive one another. A member nation might prefer to create greater output and ignore the quotas.The underreporting of production level is another issue. This is an instance of increasing output while demonstrating that it is below quotas. The result is a shadow economy.

To know more about OPEC visit:

https://brainly.com/question/1281790

#SPJ4

A gain or loss on disposal of a plant asset is determined by comparing the.

Answers

The gain or loss on disposal of a plant asset is determined by comparing the book value of the asset at the time of disposal to the amount received from its sale or disposal. Here option B is the correct answer.

If the amount received from the sale or disposal is greater than the book value, the result is a gain. This occurs when the asset is sold for more than its net book value, indicating that the asset was able to generate a profit for the company. On the other hand, if the amount received from the sale or disposal is less than the book value, the result is a loss.

This indicates that the asset was sold for less than its net book value, resulting in a loss for the company. It's important to note that the original cost of the plant asset, the market value of the asset at the time of disposal, and the salvage value of the asset are all relevant factors when calculating depreciation expense and determining the book value of the asset.

However, when it comes to calculating the gain or loss on the disposal of a plant asset, the book value at the time of disposal is the key factor in determining the outcome.

To learn more about plant assets

https://brainly.com/question/28919217

#SPJ4

Complete question:

A gain or loss on disposal of a plant asset is determined by comparing the.

A) The original cost of the plant asset

B) The book value of the plant asset at the time of disposal

C) The market value of the plant asset at the time of disposal

D) The salvage value of the plant asset at the time of disposal

_____ benefits the check writer by allowing it to retain the funds until the funds are actually withdrawn from its account.
A. Delayed funding
B. Transfer financing
C. Process financing
D. Interest accrual
E. Float

Answers

The cheque writer profits from interest accrual since it enables it to hold onto the money until it is actually withheld from its account. The practise of calculating interest on a check's amount that has been written but not yet deposited or paid is known as interest accrual. Option D is correct.

As a result, the cheque writer is able to collect interest on the money that is kept in the account of the paying bank until it is actually withdrawn. Other ideas linked to the cheque clearing process include delayed funding, transfer financing, and process financing.

However, while these ideas provide the cheque writer the option to hold onto their money until it is actually withdrawn, they do not immediately benefit the cheque writer. The time frame following the day a cheque is drawn is referred to as float. Option D is correct.

Learn more about interest accrual Visit: brainly.com/question/24255264

#SPJ4

an asset fitting into the 10-year macrs category was purchased two years ago for $80,000. the book value of this asset is now . (do not round intermediate calculations.) question 17 options: a) $57,600 b) $52,400 c) $62,200 d) $71,800

Answers

MACRS (Modified Accelerated Cost Recovery System) is a tax depreciation method used in the United States. Assets are assigned to different categories, each with a designated recovery period. The recovery period for assets in the 10-year MACRS category is 10 years.

In this case, the asset was purchased two years ago, so it has been depreciated for two years. The depreciation expense for the first year would be 10.0% of $80,000, or $8,000. The depreciation expense for the second year would be 18.0% of the remaining book value (which is the original cost minus the accumulated depreciation from the first year), or 18.0% of ($80,000 - $8,000), which is $12,960. Therefore, the total accumulated depreciation for this asset after two years would be $8,000 + $12,960 = $20,960. The book value of the asset after two years would be the original cost of $80,000 minus the accumulated depreciation of $20,960, which is $59,040.

To determine the book value, we need to use the Modified Accelerated Cost Recovery System (MACRS) depreciation method. For a 10-year MACRS category, the depreciation percentages for the first two years are as follows Year 1: 10% Year 2: 18% 1. Calculate the depreciation for Year 1: 10% of $80,000 = $8,000 2. Subtract the Year 1 depreciation from the initial cost to find the book value at the end of Year 1: $80,000 - $8,000 = $72,0003. Calculate the depreciation for Year 2: 18% of $72,000 = $12,960 4. Subtract the Year 2 depreciation from the book value at the end of Year 1 to find the current book value: $72,000 - $12,960 = $52,400 Thus, the correct answer is B) $52,400.

To know more about purchased visit :

https://brainly.com/question/24112214

#SPJ11

Other Questions
What are gandhis views of british rule and of englishmen? are they the same thing?. x = 7To isolate x, always do the opposite of the number next to it. 5x = 35The opposite of " 5" is " 5," so we 5 on both sides5x = 355x 5 = 35 5x = 7 How do you solve an equation like: 5x = 35 Gerde is very close to finishing her Ph.D. in biology. She has been offered several good jobs, and everyone assumes she is off to a brilliant career. However, Gerde decides that although she is a very talented biologist, what she really wants to become is a carpenter. She quits graduate school and goes on to become a very happy and successful carpenter. According to Maslow, Gerde is:a. high in self-esteem.b. self-actualized.c. an underachiever.d. unmotivated. For f(x) = x2 -4 and g(x) = 2x + 3, what is the domain of f - g?A) (-90, 0)B) (-2, 2)C) (2, )D) [0, %) For the reaction A + B products, the following data were obtained.Initial Rate (mol/L s) 0.030 0.059 0.060 0.090 0.090[A]0 (mol/L) 0.10 0.20 0.20 0.30 0.30[B]0 (mol/L) 0.20 0.20 0.30 0.30 0.50What is the experimental rate law? when a publisher sells their catalog of copyrights to another publisher, does the buyer need to assume obligations? During aerobic exercise, the partial pressure of oxygen in muscle cells will ________, thus the rate of diffusion of oxygen into the muscle tissue from the blood will ________. when a video streaming company chooses a subscription scheme to pay for programming, which of the following statements is true? a. the outcome is socially efficient. true b. the programs selected will maximize advertising revenue. true c. the marginal cost to an additional viewer of watching the program is lower than when advertising is used to finance programming. true d. the outcome is always more socially efficient than when advertising is used to finance programming. true e. the variety of programs provided is likely to rise. the flow rate for streams is called the: question 10 options: a) capacity b) competence c) area d) discharge On July 8, a fire destroyed the entire merchandise inventory on hand of Larrenaga Wholesale Corporation. The following information is available:Sales, January 1 through July 8$700,000Inventory, January 1130,000Purchases, January 1 through July 8640,000Gross profit ratio30%What is the estimated inventory on July 8 immediately prior to the fire?A. $192,000B. $280,000C. $490,000D. $510,000 which of the following is used to describe the full spectrum of animal and plant genetic material? group of answer choices ecodiversity biodiversity envirodiversity duodiversity on each of the 22 work days in a particular month, every employee of a start-up venture was sent a company communication. if a total of 4840 company communications were sent, how many employees does the company have, assuming that no staffing changes were made that month? x = 591) Start by isolating the radical on one side using PEMDAS backwards4(x - 10) + 15 = 434(x - 10) = 28 (Subtraction)(x - 10) = 7 (Division)2) Square both sides and solve for x(x - 10) = 7 x - 10 = 49x = 59 (Addition) For their part, more and more women were rejecting bloomers for cycling. Instead, they wore shorter skirts. According to an 1896 article in the magazine Harper's Bazar, women in New York and the East were taking the lead in this fashion trend and for a very clear reason. "Women are too anxious about their personal appearance to be willing to wear what their own eyes tell them is ugly," the article said.Wheels of Change,Sue MacyWhat changed about womens dress as a result of bloomers failed popularity?Women realized that it was more important to be comfortable than to look fashionable.Clothing options for women had to be both practical and fashionable.Clothing options for women became limited to only shorter skirts.New York and the East became the center of fashion. How old is the millpond at Merchants Millpond State Park? A circular copper loop is placed perpendicular to a uniform magnetic field of 0. 75 t. Due to external forces, the area of the loop decreases at a rate of 7. 26 103 m2/s. Determine the induced emf in the loop. In "Where, have you gone, Charming Billy?" from Pauls memories and fantasies, you can infer that his family was Paretos law Paretos law for capitalist countries states that the relationship between annual income x and the number y of individuals whose income exceeds x is log y = log b - k log x,where b and k are positive constants. Solve this equation for y. Find the domain, points of discontinuity, and x-and y-intercept s of the rational function. Determine whether the discontinuities are removable or non-removable. y=(30-6x)/(x^(2)-11x+30) How did the shootings at kent and jackson state universities impact popular opinion on the vietnam war?.