Which one of the following is the most apt to have the largest risk premium in the future based on the historical record for 1926-2008? A. U.S Treasury bills B. Large-company stocks C. Long-term government debt D. Small-company stocks

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Answer 1

Small-company stocks are the aptest to have the largest risk premium in the future based on the recorded record for 1926-2008. Thus, option D is correct.

Small-company stocks have historically delivered the most increased moderate recovery among the support classes recorded, but they have also demonstrated the highest level of volatility and threat. Investors who are inclined to take on more additional risk may be awarded a more elevated recovery over the long term.

It is important to mention that past routine is not an assurance of future outcomes, and investors should carefully evaluate their risk patience and acquisition goals before creating any acquisition conclusions.

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Lourdes Corporation's 12% coupon rate, semiannual payment, $1,000 par value bonds, which mature in 10 years, are callable 6 years from today at $1,050. They sell at a price of $1,306.57, and the yield curve is flat. Assume that interest rates are expected to remain at their current level.
What is the best estimate of these bonds' remaining life? Round your answer to two decimal places.
If Lourdes plans to raise additional capital and wants to use debt financing, what coupon rate would it have to set in order to issue new bonds at par?
Since interest rates have risen since the bond was first issued, the coupon rate should be set at a rate above the current coupon rate.
Since the bonds are selling at a premium, the coupon rate should be set at the going rate, which is the YTC.
Since the bonds are selling at a premium, the coupon rate should be set at the going rate, which is the YTM.
Since Lourdes wishes to issue new bonds at par value, the coupon rate set should be the same as that on the existing bonds. Since Lourdes wishes to issue new bonds at par value, the coupon rate set should be the same as the current yield on the existing bonds.

Answers

To determine the best estimate of these bonds' remaining life, we need to consider that the bonds are callable in 6 years at $1,050.

Since the bonds are currently selling at a premium ($1,306.57), it is more likely that Lourdes Corporation will call the bonds at 6 years, rather than letting them mature in 10 years. Therefore, the best estimate of the bonds' remaining life is 6 years.

If Lourdes plans to raise additional capital and wants to use debt financing, they would need to set the coupon rate at the going rate, which is the Yield to Call (YTC), in order to issue new bonds at par. This is because the existing bonds are selling at a premium, and Lourdes wants to issue new bonds at par value.

To summarize:

1. The best estimate of the bonds' remaining life is 6 years.
2. To issue new bonds at par, Lourdes should set the coupon rate at the going rate, which is the YTC.

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2. a major disadvantage of a corporation is: (a) limited liability of stockholders. (b) additional taxes. (c) transferable ownership rights. (d) none of the above.

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A major disadvantage of a corporation is additional taxes. The correct option is B

In a corporation, profits are taxed twice: first at the corporate level and then at the stockholder level when dividends are distributed. This double taxation occurs because the corporation is a separate legal entity from its stockholders.

While limited liability of stockholders (a) and transferable ownership rights (c) can be seen as advantages for corporations, additional taxes (b) present a significant drawback.

This disadvantage can make corporations less appealing compared to other business structures like sole proprietorships or partnerships, where profits are only taxed once at the individual level. It is important for businesses to carefully consider the tax implications when choosing a business structure.

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over time, amazon has extended the capabilities of its alexa home assistant product. amazon is trying to improve its competitive position by __________. OA. collecting and storing large amounts of data O B. lowering operating costs O C. allowing customers to be locked in O D. raising the barriers to entry OE. enhancing products or services

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Over time, Amazon has extended the capabilities of its Alexa home assistant product by enhancing its products or services. Here option E is the correct answer.

By continuously improving Alexa's features and capabilities, Amazon is trying to improve its competitive position in the market.

One of the ways Amazon has enhanced Alexa is by integrating it with various other services, such as smart home devices, streaming services, and e-commerce platforms. This has allowed Alexa to become a more versatile and useful product for customers, making it more appealing and competitive in the market.

By enhancing its products and services, Amazon can attract more customers and retain existing ones, ultimately improving its market position. Additionally, by continuously improving its products, Amazon can increase customer loyalty and reduce the likelihood of customers switching to competitors.

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Cp = Cpk
When the process is not centered between customer requirements
Always
When the process is centered between customer requirements
Never

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Cp = Cpk when the process is centered between customer requirements. Option C is answer.

Cp and Cpk are both measures of process capability, which indicate how well a process is performing relative to its customer requirements. Cp measures the spread of the process output relative to the specification limits, while Cpk measures the spread of the process output relative to the specification limits and also accounts for any deviation from the target value.

When the process is centered between the customer requirements, meaning that the average of the process output is equal to the target value, Cp and Cpk will have the same value. However, when the process is not centered between customer requirements, the value of Cpk will be lower than Cp, indicating that the process is not meeting customer requirements.

Option C is answer.

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Estimating uncollectible accounts by analyzing receivables from specific customers according to how long each has been outstanding is known as the OA allowance method OB percent-of-sales method Ocaging-of-receivables method OD direct write-off method An internal control system can be circumvented by: O A nothing, if it is a good internal control system, OB. collusion, management override and human limitations OC. collusion, encryption and management override OD. collusion, management override and segregation of duties

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Estimating uncollectible accounts by analyzing receivables from specific customers according to how long each has been outstanding is known as the Ocaging-of-receivables method.

An internal control system can be circumvented by collusion, management override and human limitations. Encryption and segregation of duties can actually enhance the effectiveness of an internal control system.

However, there are steps that can be taken to enhance the effectiveness of an internal control system. One such step is encryption, which involves converting sensitive data into a coded language that can only be deciphered with a specific key or password.

This helps to prevent unauthorized access to sensitive financial information.

Another step is segregation of duties, which involves assigning different responsibilities to different employees. For example, one employee may be responsible for recording financial transactions, while another employee may be responsible for authorizing payments.

This helps to prevent any one person from having too much control over the entire financial process, and reduces the risk of fraud or errors.

Overall, while an internal control system cannot completely eliminate the risk of financial fraud or errors, it can greatly reduce the risk and enhance the accuracy and reliability of financial reporting.

It is important for companies to regularly evaluate and update their internal control systems to ensure that they are effective and efficient.

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which of the following most accurately defines the term china price? group of answer choices the industry name given chinese exports because of their quality and price. the unnaturally low price wal-mart is able to offer because of heavy reliance on inexpensive imported goods. the stringent regulations the chinese government puts on importing foreign goods into china. the cost-benefit ratio juggled by investors looking at pursuing foreign direct investment in china.

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The unnaturally low price Wal-Mart is able to offer because of heavy reliance on inexpensive imported goods most accurately defines the term china price.

The term "China price" typically refers to the low prices of products manufactured in China due to the country's low labor costs and currency valuation. It is often used to describe the competitive pricing strategy of Chinese exporters, who are able to offer goods at prices lower than their competitors in other countries.

The term "China price" refers to the unnaturally low price at which Chinese goods are offered due to the country's low labor costs and production expenses. Therefore, the most accurate definition of the term is: the unnaturally low price Wal-Mart is able to offer because of heavy reliance on inexpensive imported goods.

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a few days ago, deanna watson purchased 100 shares of microsoft common stock for $35 per share. deanna watson is single, and her taxable income is $75,000.

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Deanna Watson, a single individual with a taxable income of $75,000, recently purchased 100 shares of Microsoft common stock at $35 per share. In this transaction, Deanna invested a total of $3,500 (100 shares x $35 per share) in Microsoft's common stock.

The relevance of her taxable income comes into play when considering any potential gains or losses from her investment in Microsoft. If Deanna decides to sell her shares in the future and makes a profit, the profit would be considered a capital gain.

The tax rate applied to her capital gains would depend on her overall taxable income, the length of time she held the shares (short-term or long-term), and any applicable deductions or exemptions. Conversely, if Deanna were to sell her shares at a loss.

she may be able to offset some of her taxable income through capital loss deductions, subject to certain limitations. It's essential for Deanna to consider her overall financial situation and investment strategy when managing her investments and taxable income.

In summary, Deanna Watson purchased 100 shares of Microsoft common stock at $35 per share, totaling $3,500. Her taxable income of $75,000 is relevant in determining the tax implications of any potential gains or losses from her investment.

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glaston company manufactures a single product using a jit inventory system. the production budget indicates that the number of units expected to be produced are 193,000 in october, 201,500 in november, and 198,000 in december. glaston assigns variable overhead at a rate of $0.75 per unit of production. fixed overhead equals $150,000 per month. compute the budgeted total factory overhead for october.

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The budgeted total factory overhead for October is $294,750.

To compute the budgeted total factory overhead for October, we need to calculate the variable overhead and fixed overhead separately and then add them up.

Variable overhead cost for October:

= Number of units expected to be produced in October x Variable overhead rate per unit

= 193,000 x $0.75

= $144,750

Fixed overhead cost for October:

= Fixed overhead for the month

= $150,000

Therefore, the budgeted total factory overhead for October is:

= Variable overhead cost + Fixed overhead cost

= $144,750 + $150,000

= $294,750

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Sure feet Corporation changed its inventory valuation method. Which characteristic is jeopardized by this change? a) Feedback value. b) Representational faithfulness. c) Comparability. d) Consistency.

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When Sure Feet Corporation changed its inventory valuation method, the characteristic that is jeopardized by this change is (d) Consistency. Option (d) is correct.

The characteristic that is jeopardized by changing the inventory valuation method is consistency. Consistency is the principle that requires a company to use the same accounting methods and procedures for similar transactions over time. Changing the inventory valuation method would result in a change in the company's financial statements, making it difficult to compare the current year's financial statements to previous years. This could lead to a lack of consistency in the financial reporting of the company.

This is because consistency refers to using the same accounting methods and policies across different reporting periods, which allows for meaningful comparisons between financial statements. By changing the inventory valuation method, Sure Feet Corporation has impacted the consistency of its financial reporting. Option (d) is correct.

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a supplier to ford stamps out parts using a press. changing a part type requires the supplier to change the die on the press. this changeover currently takes four hours. the supplier estimates that each hour spent on the changeover costs $250. demand for parts is 1,000 per month. each part costs the supplier $100, and the supplier incurs an annual holding cost of 25% of the cost of a part or a unit. ford would like the supplier to reduce their batch size by a factor of four; that is, if the supplier currently produces q parts per batch, ford would like them to produce q/4 parts per batch. what should the supplier do in order to achieve this result? choose from the following options. group of answer choices modify h modify r modify s modify c

Answers

The supplier can cut the transition time from 4 hours to under an hour by applying one or more of these alternatives (i.e., less than 60 minutes). Option 5 is Correct.

This would allow them to decrease the batch size from q to q/4, lowering the expense of maintaining inventory and enhancing their ability to meet Ford's demand.

Alter S (Setup): The provider can review the setup procedure and cut out any extraneous actions or stages. Also, they may design the die and the press to make changeovers quicker and simpler.

Modification C (Conveyance): The provider can streamline the movement of the tools, supplies, and parts required for the conversion.

Modify R (Reorder): The supplier can change the sequence or timing of the changeover steps. They can identify the critical path or bottleneck and prioritize the tasks accordingly.

Modify H (Handling): The supplier can improve the ergonomics and safety of the changeover process. They can reduce the physical strain, fatigue, and risk of injury for the operators. Option 5 is Correct.

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Correct Question:

A supplier to ford stamps out parts using a press. changing a part type requires the supplier to change the die on the press. this changeover currently takes four hours. the supplier estimates that each hour spent on the changeover costs $250. demand for parts is 1,000 per month. each part costs the supplier $100, and the supplier incurs an annual holding cost of 25% of the cost of a part or a unit. ford would like the supplier to reduce their batch size by a factor of four; that is, if the supplier currently produces q parts per batch, ford would like them to produce q/4 parts per batch. what should the supplier do in order to achieve this result? choose from the following options. group of answer choices

1. modify h

2. modify r

3. modify s

4. modify c

5. all of these.

Marian Plunket owns her own business and is considering an investment. If she undertakes the​ investment, it will pay $5,040 at the end of each of the next 3 years. The opportunity requires an initial investment of $1,260 plus an additional investment at the end of the second year of $6,300. What is the NPV of this opportunity if the interest rate is 1.7% per​ year? Should Marian take​ it?
What is the NPV of this opportunity if the interest rate is 1.7% per​ year?

Answers

The Net Present Value (NPV) of an investment opportunity is a financial metric used to evaluate the profitability of an investment by comparing the present value of expected cash flows with the initial cost of the investment.

To calculate the Net Present Value of the given opportunity, we can follow these steps:

Step 1: Calculate the present value of each expected cash flow.

[tex]PV = CF / (1 + r)^n[/tex]

Where:

PV = Present Value

CF = Cash Flow

r = Interest Rate

n = Number of periods

Given the cash flow of [tex]$5,040[/tex] at the end of each of the next 3 years, and an interest rate of [tex]1.7%[/tex] percent per year, we can calculate the present value of each cash flow as follows:

Year 1:

[tex]PV1 = $5,040 / (1 + 0.017)^1[/tex]

Year 2:

[tex]PV2 = $5,040 / (1 + 0.017)^2[/tex]

Year 3:

[tex]PV3 = $5,040 / (1 + 0.017)^3[/tex]

Step 2: Calculate the present value of the additional investment at the end of the second year.

[tex]PV2= $6,300 / (1 + 0.017)^2[/tex]

Step 3: Calculate the total present value of all cash flows and investments.

Total PV = PV1 + PV2 + PV3 + PV2_Additional

Step 4: Calculate the initial investment.

Initial Investment = [tex]$1,260[/tex]

Step 5: Calculate the Net Present Value (NPV).

NPV = Total PV - Initial Investment

Once all the calculations are done, we can determine whether the NPV is positive or negative. If the NPV is positive, it indicates that the investment is expected to generate a positive return and may be considered favorable. If the NPV is negative, it indicates that the investment is not expected to generate a positive return and may not be considered favorable.

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Marketers should gather _______data first because it is already available and to avoid incurring unnecessary expense.

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Marketers should gather market data first because it is already available and to avoid incurring unnecessary expenses.

By utilizing existing market research, marketers can save on expenses that would otherwise be required to conduct their own research. This allows them to focus on analyzing the data and using it to make informed decisions about their marketing strategies.

Marketers should gather "secondary" data first because it is already available in the market, and it helps avoid incurring unnecessary expenses. This allows them to make informed decisions without spending additional resources on primary data collection.

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when more than one group is observed in a single system research design (ssrd), this is known as what?

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Multiple baseline-design is the term used when more than one group is monitored in a single system research design (SSRD).

To improve programmes, formative assessments might include single system designs. Qualitative research is referred to as single system research designs. Researchers may produce more reliable quantitative tools, combine several worldviews in a single research study, and reach a more comprehensive knowledge of their research issues with the use of mixed methods inquiry, according to a number of academics.

Single-subject, single-case, or N-of-1 designs are various names for single-system designs (SSDs), which are research formats that allow for controlled studies with just one person, one group, or one system as well as uncontrolled programme assessment.

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The unemployment rate will increase whenever there is an increase in the number of unemployed persons relative to the size of the labor force.a. Trueb. False

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TRUE, The unemployment rate will increase whenever there is an increase in the number of unemployed persons relative to the size of the labor force.

The unemployment rate for any area is calculated by the number of area residents without a job and looking for work divided by the total number of the labor force in the area residents. The unemployment rate is calculated by using the (Unemployed ÷ Labor Force) x 100 methods.

The reason for to rise or fall unemployment rate is a change in the number of job seekers, when economic activity is low, the size of the labor force, aggregate demand, global competition, education, automation, and demographics.

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If you put up $21,000 today in exchange for a 7.50 percent, 16-year annuity, what will the annual cash flow be? Multiple Choice odas a. $2,297.21 b. $2,448.88 c. $1,312.50 d. $5,003.89

Answers

The correct answer is b. $2,448.88.

To calculate the annual cash flow, you can use the formula:

Annual cash flow = Principal x (interest rate / (1 - (1 + interest rate)^-number of payments))

In this case, the principal is $21,000, the interest rate is 7.50%, and the number of payments is 16 (since it's a 16-year annuity).

Plugging in these values, we get:

Annual cash flow = $21,000 x (0.075 / (1 - (1 + 0.075)^-16))

Annual cash flow = $2,448.88

Therefore, the answer is b. $2,448.88.

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A major purpose of a cost accounting system is to:
A.assist creditors in determining whether to grant a loan.
B.compute the cost of goods sold for the income statement.
C.show investors a company is operating efficiently.
D.classify all costs as operating or marketing costs

Answers

The major purpose of a cost accounting system is to: compute the cost of goods sold for the income statement. The correct option is B.

This system helps businesses in determining the actual cost of producing goods or providing services. It involves tracking and analyzing all costs associated with a business, including direct and indirect expenses such as labor, materials, overhead, and other expenses.

By accurately calculating the cost of goods sold, businesses can make informed decisions regarding pricing, inventory management, and cost reduction strategies. It also helps businesses in evaluating the profitability of their products and services, and identifying areas where they can reduce costs and increase efficiency.

Therefore, a cost accounting system is crucial for any business that wants to maintain its financial health and profitability in the long run.

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interest earned from treasury bonds is: group of answer choices exempt from federal income tax. exempt from all income tax. subject to all income taxes. exempt from state and local taxes.

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The interest earned from Treasury bonds is exempt from state and local income taxes, but it is subject to federal income tax. Option d is answer.

The interest earned from Treasury bonds is subject to federal income tax, but it is exempt from state and local income taxes. This means that if an investor earns interest income from Treasury bonds, they will not have to pay state or local income taxes on that income, but they will still have to pay federal income tax on it.

This tax exemption is intended to make Treasury bonds more attractive to investors and to encourage investment in them. It is important to note, however, that the tax treatment of Treasury bonds can vary depending on the specific type of bond and the state in which the investor resides, so investors should consult with a tax professional to understand their specific tax situation.

Option d is answer.

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as a general valuation process, the value of an asset is determined by discounting the expected cash flows back to its present value, using an appropriate discount rate.truefalse

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The given statement "The general valuation process for an asset involves estimating its future cash flows and then discounting those cash flows back to their present value using an appropriate discount rate" is True.

This process is commonly used in finance and accounting to determine the value of various types of assets, including stocks, bonds, real estate, and businesses.



The discount rate used in this process represents the rate of return that an investor could earn on a comparable investment. It takes into account factors such as inflation, risk, and the time value of money. The higher the discount rate, the lower the present value of the asset's expected cash flows, and vice versa.By discounting the expected cash flows back to their present value, this valuation process provides a more accurate estimate of an asset's true value than simply looking at its current market price or book value.

It also allows for the comparison of different assets with different expected cash flows and risks, enabling investors to make informed investment decisions.Overall, the valuation process of an asset is an essential aspect of finance and investing, and understanding how to determine the present value of an asset's expected cash flows is crucial for making informed investment decisions.

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________ to a plant asset that increase its operating efficiency, productive capacity, or expected useful life are generally debited to the asset affected.A. Ordinary repairs B. Indirect expenses C. Regular maintenance D. Additions and improvements

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Additions and improvements, when applied to a plant asset, increase its operating efficiency, productive capacity, or expected useful life and are generally debited to the asset affected. The correct answer is D.

Plant assets may include Land, building, fixed equipment, software and other assets. These can also be termed as fixed assets as an alternative term. Additions and improvements to a plant asset increase its operating efficiency, productive capacity, or expected useful life and are generally debited to the asset affected. Ordinary repairs, indirect expenses, and regular maintenance do not provide the same lasting benefits and are usually expensed.

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Because Hard Rock Cafés are themed restaurants, operations managers focus their layout design efforts on attractiveness while paying little attention to efficiency.
true/false

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Thee answer to the statement ''Because Hard Rock Cafés are themed restaurants, operations managers focus their layout design efforts on attractiveness while paying little attention to efficiency'' is False.

While it is true that Hard Rock Cafés are themed restaurants, operations managers still pay attention to efficiency in their layout design efforts. In fact, efficient layout design is crucial for the success of any restaurant.

Operations managers aim to optimize the use of space, minimize customer wait times, and ensure smooth flow of traffic throughout the restaurant. However, attractiveness is also an important consideration as it helps create a unique ambiance and experience for customers.

Therefore, operations managers strive to balance both efficiency and attractiveness in their layout design efforts.

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who is responsible for what activities when a shipment has the following terms: fob origin / collect / allowed?

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FOB origin/collect/allowed means that the buyer is responsible for paying the shipping charges, and the seller is responsible for loading the goods onto the shipping vessel.

The buyer assumes the risk and responsibility for the goods once they are loaded onto the vessel. Therefore, the buyer is responsible for all activities related to the transportation of the goods from the origin to the destination, including any insurance or additional charges that may apply. The seller is responsible for loading the goods onto the vessel and ensuring that they are in good condition at the time of loading.

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strong speech delivery can be used to camouflage weak or false arguments.a. trueb. false

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True. Strong speech delivery, such as effective use of voice, gestures, and body language, can distract or persuade an audience and make weak or false arguments appear more convincing than they are.

Strong delivery of a speech may be a useful strategy for hiding weak or untrue ideas. A skilful speaker may influence an audience's emotions and divert their attention from the argument's main points using a variety of strategies, including tone, voice modulation, and body language.

Even when the arguments made are logically or factually wrong, this can provide the appearance of legitimacy and persuasiveness. Listeners must be aware of this possible trick and assess arguments on their own merits rather than being misled just by the speaker's style of delivery.

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If you don't have a traditional bank account and you need money from a check, you may visit this financial institution, where they will happily help you, for a fee.a. Trueb. False

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The above statement is true that you would have to visit this financial institution to crack a cheque without a bank account.

Cashing a check without a bank account is usually possible, however it can occasionally be time-consuming and expensive. Some people may find that cashing a check only requires them to visit the bank where they have an account or to use the mobile deposit function of their bank's mobile app.

Even if you have a bank account, you might need to cash a check while traveling if your bank is not close by. The good news is that cashing a check without a bank account is frequently possible. Just a little bit of labor or costs could be involved.

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most corporations measure the value of a project in terms of which of the following? group of answer choices interest rate factor discount value future value (fv) present value (pv) discount factor

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Most corporations measure the value of a project in terms of its present value (PV).

Present value is the value today of an amount of money that will be received or paid in the future, adjusted for the time value of money, which takes into account factors such as inflation and the opportunity cost of investing the money elsewhere.

When evaluating a project, the future cash flows are estimated and then discounted back to the present using a discount rate. The discount rate reflects the risk associated with the project and the opportunity cost of investing the money elsewhere. The sum of these discounted cash flows gives the present value of the project.

By comparing the present value of the expected cash inflows to the present value of the expected cash outflows, a corporation can determine whether a project is expected to be profitable or not.

This analysis helps corporations to make investment decisions and allocate resources to the projects that provide the greatest return on investment.

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if a firm produces 20 units of output and incurs a total cost of $1,000 and a variable cost is $700, calculate the firm's average fixed cost of production if it expands output to 25 units.

Answers

The firm's average fixed cost of production would be $12 per unit if it expands output to 25 units.

To calculate the average fixed cost of production for the firm, we need to first calculate the firm's total fixed cost (TFC) and then divide it by the total output produced.
Given that the total cost (TC) of producing 20 units of output is $1,000 and the variable cost (VC) is $700, we can calculate the firm's total fixed cost (TFC) as:
TFC = TC - VC
TFC = $1,000 - $700
TFC = $300
Now, if the firm expands output to 25 units, we can calculate the average fixed cost (AFC) as:
AFC = TFC / Q
AFC = $300 / 25
AFC = $12 per unit

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roger simmons earns $8 per hour, and receives overtime pay time and a half for any hours worked over 40 hours per week. if roger works 50 hours in one week, his gross pay is:

Answers

Roger's gross pay for the week would be $440.

Roger Simmons earns $8 per hour, and receives overtime pay time and a half for any hours worked over 40 hours per week. Therefore, for the first 40 hours, he earns $8/hour, and for the remaining 10 hours, he earns $12/hour. Thus, his gross pay for the week would be:

(40 hours * $8/hour) + (10 hours * $12/hour) = $320 + $120 = $440.

Overtime pay is the additional compensation given to an employee for working more than the regular working hours, usually defined as more than 40 hours in a week, at a rate higher than their regular pay rate. The overtime pay rate is typically 1.5 times the regular pay rate.

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by how much would audience contact increase if an extra $100 were allocated to the promotional budget? round your answer to the nearest whole number. increase in audience coverage of approximately 10

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 By allocating an extra $100 to the promotional budget, the audience contact would increase by approximately 10%. Rounded to the nearest whole number, the answer would be a 10% increase.

To calculate the increase in audience contact with an extra $100 allocated to the promotional budget, you can follow these steps:
1. Identify the current increase in audience coverage per dollar spent: In this case, it is mentioned that the increase in audience coverage is approximately 10.
2. Determine the extra budget allocation: The extra budget allocated is $100.
3. Calculate the increase in audience contact: Multiply the increase in audience coverage per dollar spent (10) by the extra budget allocation ($100).

Increase in audience contact = 10 * $100 = 1000
So, by allocating an extra $100 to the promotional budget, the audience contact would increase by approximately 10%. Rounded to the nearest whole number, the answer would be a 10% increase.

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In the context of recruiting, which of the following kinds of information can be gathered by job analysis? a. The knowledge, skills, and abilities needed to perform work b. Confidential data of a client c. The list of shareholders involved in a particular project d. Personal characteristics of the existing employeesd.

Answers

In the context of recruiting, the knowledge, skills, and abilities needed to perform work kinds of information can be gathered by job analysis.

Option A is correct.

What does it mean to recruit?

Recruiting is the process of actively looking for, locating, and hiring candidates for a particular position or career. The definition of recruitment encompasses the entire hiring process, from the initial stages to the hire's integration into the business.

What is the job of an HR recruiter?

The obligations of a HR enrollment specialist incorporate finding individuals internet, refreshing postings for occupations, and running minds records. If you are familiar with a variety of interview formats, such as team interviews and phone screenings, and can help us fill positions more quickly and effectively, we would like to meet you.

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a stock is expecting 4 years of non-constant growth in dividends followed by a constant growth rate in year 5 and beyond. how would you go about finding the value of this stock today?

Answers

To find the value of the stock today, you would first need to determine the expected dividends for each of the next 4 years based on the non-constant growth rate.

This can be done by analyzing the company's financial statements and projecting future earnings and dividends. Next, you would need to calculate the present value of these expected dividends using a discounted cash flow model. This involves applying a discount rate to each year's expected dividend payments to account for the time value of money.

In year 5 and beyond, you can assume a constant growth rate in dividends. To calculate the present value of these future dividend payments, you would use the perpetuity formula and apply the same discount rate.

Once you have calculated the present value of all expected future dividend payments, you can add them up to get the total value of the stock today. This total value represents the intrinsic value of the stock and can be compared to the current market price to determine if the stock is overvalued or undervalued.

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consider a company that uses market-based forecasting to estimate future exchange rates. the forward rate is a good predictor of the future spot rate. true false

Answers

The answer is true. Empirical evidence suggests that the forward rate is a reliable predictor of future spot rates.

The forward rate reflects the expectations of the market participants regarding future exchange rates. It incorporates all available information about the market conditions and reflects the market's consensus about the future exchange rate.

There are times when the market conditions change suddenly, and the forward rate fails to predict the future spot rate accurately. Therefore, it's essential to understand the limitations of market-based forecasting and use other methods to complement the predictions made using the forward rate.

In conclusion, market-based forecasting is a useful technique for predicting future exchange rates. The forward rate is a good predictor of the future spot rate, although it's not a perfect one. Market participants should use other methods in conjunction with the forward rate to get a better understanding of the expected future exchange rates.

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