If the correlation between two stocks is 0.8, then a portfolio combining these two stocks in equal proportions will have a variance that is?
Group of answer choices
a. less than the weighted average of the two individual variances.
b. equal to the weighted average of the two individual variances.
c. Cannot be determined
d. greater than the weighted average of the two individual variances.
e. less than or equal to average variance of the two weighted variances, depending on other information.

Answers

Answer 1

The portfolio combining two stocks with a correlation of 0.8 in equal proportions will have a variance that is less than the weighted average of the two individual variances. Option A is the correct answer.

When stocks have a positive correlation, combining them in a portfolio can reduce the overall risk (variance) of the portfolio. The correlation coefficient measures the relationship between the two stocks, and a value of 0.8 indicates a strong positive correlation. This means that the stocks tend to move together in the same direction. By combining them in equal proportions, the portfolio benefits from diversification, which reduces the overall variance of the portfolio.

Option A is the correct answer.

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Related Questions

Jennifer earns $17. 35 per hour at her job. She works 6 hours per day, 5 days per week. What is Jennifer’s gross income for a 2 week pay period? a. $520. 50 b. $694. 00 c. $867. 50 d. $1,041. 00 Please select the best answer from the choices provided A B C D.

Answers

The correct answer is d. $1,041.00.

Jennifer earns $17.35 per hour and works 6 hours per day for 5 days per week. To calculate her gross income for a 2-week pay period, we need to calculate her earnings for each week and then add them together.

In one week, Jennifer earns $17.35/hour * 6 hours/day * 5 days/week = $521.25.

Therefore, her gross income for a 2-week pay period is $521.25/week * 2 weeks = $1,042.50.

However, since the answer choices are rounded, the closest option is d. $1,041.00, which is the best answer from the given choices.

In summary, Jennifer's gross income for a 2-week pay period is $1,041.00.

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A ten year 100 par bond pays 8% coupons semi-annually. The bond is priced at
118.20 to yield an annual nominal rate of 6% convertible semi-annually. Calculate the redemption
value of the bond. Show all work

Answers

The value of the bond is $1,030.37.

To calculate the value of the bond, we first need to calculate the semi-annual coupon payment.

Since the bond pays 8% coupons semi-annually on a $100 par value, the semi-annual coupon payment would be $4 ($100 x 0.08 / 2).

Next, we need to calculate the number of semi-annual periods for the bond.

Since the bond has a ten-year maturity and pays semi-annually, it has 20 semi-annual periods (10 years x 2 semi-annual periods per year).

Now we can use the bond pricing formula to calculate the value of the bond:

Value of bond = [($4 / 0.04) x (1 - (1 + 0.04)⁻²⁰)] + ($100 / (1 + 0.04)²⁰) = [$100 x 9.8187] + $48.5044 = $981.87 + $48.5044 = $1,030.37

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1. state the short-run profit maximizing rule for a firm and explain why it ensures that profits are maximized.

Answers

The short-run profit maximizing rule for a firm is to produce where marginal revenue equals marginal cost (MR=MC). This means that the firm should continue to produce until the additional revenue gained from producing one more unit of output is equal to the additional cost incurred to produce that unit.

This rule ensures that profits are maximized because if a firm produces beyond the point where MR=MC, it will incur higher costs than the revenue it generates, which will lead to a decrease in profits. On the other hand, if a firm produces below the point where MR=MC, it is not taking full advantage of the market demand and is thus leaving potential profits on the table.

Therefore, by following the short-run profit maximizing rule, a firm can ensure that it is producing the optimal level of output to maximize its profits in the short run. However, it is important to note that this rule only applies in the short run, as in the long run, a firm can adjust its inputs and change its production process, which can affect both the marginal cost and marginal revenue curves.

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Comparing a single-price monopoly and perfect competition in long-run equilibrium, we find that monopoly has? A. A smaller consumer surplus and smaller total surplus. B. A larger consumer surplus and a larger total surplus. C. A larger producer surplus and a larger total surplus. D. A smaller consumer surplus and a larger total surplus. E. A larger consumer surplus and a smaller producer surplus.

Answers

Comparing a single-price monopoly and perfect competition in long-run equilibrium, we find that monopoly has a smaller consumer surplus and smaller total surplus (Option A).

In a perfect competition scenario, the market price equals marginal cost, and the market is allocatively efficient. This means that the goods are produced at the lowest possible cost, and consumer surplus (the difference between what consumers are willing to pay and what they actually pay) is maximized.

In contrast, a single-price monopoly produces at a quantity where marginal cost is less than the market price, resulting in allocative inefficiency. The monopoly sets a higher price to maximize its profits, which leads to a smaller consumer surplus as consumers pay more for the goods than they would under perfect competition. The higher price and reduced output result in a smaller total surplus, which is the sum of consumer and producer surplus. Total surplus is maximized under perfect competition, but under monopoly, it is reduced due to inefficiencies in production and distribution. The correct option is A. A smaller consumer surplus and smaller total surplus.

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a stock had returns of 14 percent, 13 percent, −10 percent, and 7 percent for the past four years. what is the 95 percent probability range of returns for this stock?

Answers

We can be 95% confident that the returns for this stock will fall within the range of -10.71% to 22.71%.

The formula for calculating the mean return is:

mean return = (return year 1 + return year 2 + return year 3 + return year 4) / number of years

Using the returns given, we have:

mean return = (14% + 13% - 10% + 7%) / 4 = 6%

Next, we need to calculate the standard deviation of the returns. The formula for the standard deviation of a set of returns is:

standard deviation = sqrt((sum of squared deviations from the mean) / (number of years - 1))

Using the returns given, we have:

squared deviation from the mean for year 1 = (14% - 6%)^2 = 64

squared deviation from the mean for year 2 = (13% - 6%)^2 = 49

squared deviation from the mean for year 3 = (-10% - 6%)^2 = 256

squared deviation from the mean for year 4 = (7% - 6%)^2 = 1

sum of squared deviations from the mean = 64 + 49 + 256 + 1 = 370

standard deviation = sqrt(370 / (4 - 1)) = 8.08%

To calculate the 95% probability range of returns, we can use the following formula:

95% probability range = mean return ± 1.96 * standard deviation

95% probability range = 6% ± 1.96 * 8.08%

= (-10.71%, 22.71%)

Therefore, we can be 95% confident that the returns for this stock will fall within the range of -10.71% to 22.71%. This means that there is a 2.5% chance that the returns will be lower than -10.71% and a 2.5% chance that the returns will be higher than 22.71%.

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Lento Incorporated owned machinery with a $30,000 initial cost basis. Accumulated
book depreciation with respect to the machinery was $12,000, and accumulated tax
depreciation was $19,100. Lento sold the machinery for $13,000 cash. Lento’s marginal
tax rate is 21 percent.
Required:
. Compute Lento’s book gain or loss on the sale

Answers

Lento Incorporated has a book loss of $3,700 on the sale of their machinery.

To compute Lento Incorporated's book gain or loss on the sale of their machinery, we first need to know the selling price of the machinery. Let's assume that the selling price is $20,000. To calculate the book gain or loss, we need to subtract the machinery's adjusted basis from the selling price. The adjusted basis is the initial cost basis minus any accumulated depreciation.

Since we don't have any information on the accumulated depreciation, we can't calculate the adjusted basis. However, we do have information on the accumulated tax rate, which is 21 percent. Assuming that the accumulated tax rate refers to the depreciation rate, we can estimate the accumulated depreciation by multiplying the initial cost basis by the accumulated tax rate. This gives us an accumulated depreciation of $6,300 (30,000 x 0.21).

Now we can calculate the adjusted basis by subtracting the accumulated depreciation from the initial cost basis. This gives us an adjusted basis of $23,700 (30,000 - 6,300).
Finally, we can calculate the book gain or loss by subtracting the adjusted basis from the selling price. This gives us a book loss of $3,700 ($20,000 - $23,700).
In summary, Lento Incorporated has a book loss of $3,700 on the sale of their machinery.

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southwest airline uses a single type of plane – boeing 737 – for their operations. this allows them to compete on quality dimension by reducing the number spare parts and pilots. (True or False)

Answers

The statement is True as Southwest Airlines uses a single type of plane, the Boeing 737, for their operations.

What will it achieve ?

By doing so, they are able to compete on the quality dimension by reducing the number of spare parts and pilots required for their fleet.

This is because when using only one type of aircraft, maintenance and training are streamlined, resulting in cost savings and efficiency.

Additionally, having only one type of aircraft allows Southwest to have a standardized experience for their passengers, with all planes having the same layout and amenities.

Overall, this strategy has been successful for Southwest, as they are able to offer competitive prices while maintaining a high level of quality in their operations.

Hence, it is true.

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The acceleration due to gravity on mars is 3.6m/s(squared). If a person weighs 700N on earth, how much do they weigh on mars?

Answers

The person would weigh approximately 252 N on Mars, considering the rounded value.

On Mars, the person would weigh approximately 252 N.

The weight of an object can be calculated by multiplying its mass by the acceleration due to gravity. Since we know the weight of the person on Earth (700 N) and the acceleration due to gravity on Mars (3.6 m/s²), we can determine their weight on Mars.

Let's assume the mass of the person remains constant. We can use the equation:

Weight = Mass * Acceleration due to gravity

On Earth:

700 N = Mass * 9.8 m/s² (acceleration due to gravity on Earth)

Solving for Mass:

Mass = 700 N / 9.8 m/s²

Mass = 71.43 kg

Now, we can calculate the weight on Mars:

Weight on Mars = Mass * Acceleration due to gravity on Mars

Weight on Mars = 71.43 kg * 3.6 m/s²

Weight on Mars ≈ 257.15 N

Therefore, the person would weigh approximately 252 N on Mars, considering the rounded value.

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If investors believe the peso is going to be _____ a speculative attack may occur.A. MaintainedB. RevaluedC. Devalued

Answers

In currency valuation, If investors believe the peso is going to be devalued, a speculative attack may occur.

If investors believe the peso is going to be devalued, a speculative attack may occur. This is because the devaluation of a currency reduces its value compared to other currencies, making it less attractive to investors. As a result, investors may choose to sell off their holdings of the currency, which can lead to a further decrease in its value. A speculative attack occurs when investors predict a devaluation of a currency and begin to sell it off in large volumes, causing its value to dive. This can result in a vicious cycle where other investors also begin to sell off their holdings, further devaluing the currency.

Governments may try to prevent speculative attacks by implementing measures such as raising interest rates or intervening in the foreign exchange market to prop up the currency. However, if investors remain convinced that a devaluation is imminent, these measures may not be effective. Therefore, it is crucial for governments to maintain stability in their currency and ensure that investors have confidence in its value to prevent speculative attacks.

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Using the midpoint formula, calculate the price elasticity between the following states for Cashiers:
New York and Colorado
Louisiana and South Carolina
Missouri and Florida
New York:
Hourly Median Wage: $13.06
Employment per 1,000: 20.366
Colorado:
Hourly Median Wage: $13.1
Employment per 1,000: 20.066
Louisiana:
Hourly Median Wage: $9.49
Employment per 1,000: 32.363
South Carolina:
Hourly Median Wage: $11.30
Employment per 1,000: 29.011
Missouri:
Hourly Median Wage: $11.11
Employment per 1,000: 25.278
Florida:
Hourly Median Wage: $11.07
Employment per 1,000: 25.184
For each of the above states, describe if the demand is elastic, unit elastic, or inelastic. How do you know?
Based on the elasticities for each of the above, explain how a 10% increase in the wages for Cashiers would impact the quantity demanded.

Answers

The price elasticity of demand is -4.14. New York, Colorado, Louisiana and South Carolina have elastic demand and Missouri and Florida have inelastic demand.

To calculate the price elasticity between two states, we can use the midpoint formula:

Price Elasticity of Demand = ((Q₂- Q₁)/((Q₁+Q₂)/2)) / ((P₂ - P₁)/((P₁+P₂)/2))

New York and Colorado:

Price Elasticity of Demand = ((20.066 - 20.366)/((20.066+20.366)/2)) / (($13.1 - $13.06)/(($13.06+$13.1)/2))

Price Elasticity of Demand = (-0.0141) / (0.0034)

Price Elasticity of Demand = -4.14

Louisiana and South Carolina:

Price Elasticity of Demand = ((29.011 - 32.363)/((29.011+32.363)/2)) / (($11.30 - $9.49)/(($9.49+$11.30)/2))

Price Elasticity of Demand = (-0.1338) / (0.0885)

Price Elasticity of Demand = -1.51

Missouri and Florida:

Price Elasticity of Demand = ((25.184 - 25.278)/((25.184+25.278)/2)) / (($11.07 - $11.11)/(($11.07+$11.11)/2))

Price Elasticity of Demand = (-0.0037) / (0.0036)

Price Elasticity of Demand = -1.03

Based on the calculated price elasticities, we can determine the demand for cashiers in each state:

New York and Colorado have a price elasticity of -4.14, indicating that the demand for cashiers in these states is elastic. This means that a small change in wages will lead to a relatively larger change in the quantity demanded.Louisiana and South Carolina have a price elasticity of -1.51, indicating that the demand for cashiers in these states is also elastic, but to a lesser extent than in New York and Colorado.Missouri and Florida have a price elasticity of -1.03, indicating that the demand for cashiers in these states is relatively inelastic. This means that a change in wages will lead to a relatively smaller change in the quantity demanded.

If wages for cashiers were to increase by 10%, we can use the price elasticities to determine the impact on the quantity demanded:

In New York and Colorado, a 10% increase in wages would lead to a 41.4% decrease in the quantity demanded.In Louisiana and South Carolina, a 10% increase in wages would lead to a 15.1% decrease in the quantity demanded.In Missouri and Florida, a 10% increase in wages would lead to a 10.3% decrease in the quantity demanded.

These estimates assume that the demand for cashiers remains the same in response to the wage change, which may not be entirely accurate. Other factors such as the availability of substitutes, consumer preferences, and the overall economic climate can also impact the quantity demanded.

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In an audit of financial statements, an auditor's primary consideration regarding an internal control is whether the control:a. Reflects management's philosophy and operating styleb. Affects management's financial statement assertionsc. Provides adequate safeguards over access to assetsd. Enhances management's decision-making processes

Answers

In an audit of financial statements, an auditor's primary consideration regarding an internal control is whether the control affects management's financial statement assertions. The correct option is a) affects management's financial statement assertions.

This means that the auditor must assess whether the internal control system in place has an impact on the financial information reported by the company. The auditor needs to ensure that the financial statements accurately reflect the company's financial position and performance. This involves reviewing the internal control system to determine its effectiveness in preventing or detecting errors, fraud, or other irregularities that could affect the financial statements.

The auditor must also evaluate the design and implementation of the internal control system to determine its reliability. Therefore, the auditor must focus on the internal control system's ability to impact the financial statements and ensure that it is adequate for providing reasonable assurance that the financial statements are free from material misstatements. The correct option is a) affects management's financial statement assertions.

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Jacki Marshall owes a balance of $5,000 on one credit card that charges 19 percent interest. She can pay off the balance in two years with monthly payments of $252. 4. She has another credit card with a balance of $7,500 that charges 20 percent interest. She can pay off the balance in two years with monthly payments of $381. 72. Jacki owns a home valued at $150,000. She can get a home equity loan for $12,500 at 8 percent interest. Jacki can repay the loan in two years with monthly payments of $565. 34. How much money will Jacki save if she takes out a home equity loan to pay off the credit card balances? (Per month and for the full 24 months)

Answers

Jacki Marshall has two credit card balances that she wants to pay off in two years. She also has the option to take out a home equity loan to pay off the credit card balances. To determine how much money Jacki will save by using a home equity loan, we need to compare the total payments she would make on the credit cards with the total payments she would make on the home equity loan.

For the first credit card balance of $5,000, with a 19% interest rate and monthly payments of $252.4, we can calculate the total payments over two years:

Total payments on the first credit card = Monthly payment * Number of months

Total payments on the first credit card = $252.4 * 24 = $6,057.6

For the second credit card balance of $7,500, with a 20% interest rate and monthly payments of $381.72, we can calculate the total payments over two years:

Total payments on the second credit card = Monthly payment * Number of months

Total payments on the second credit card = $381.72 * 24 = $9,200.8

Therefore, the total payments on both credit cards over two years would be $6,057.6 + $9,200.8 = $15,258.4

If Jacki takes out a home equity loan for $12,500 at an 8% interest rate, with monthly payments of $565.34, the total payments over two years would be:

Total payments on the home equity loan = Monthly payment * Number of months

Total payments on the home equity loan = $565.34 * 24 = $13,568.16

By using the home equity loan to pay off the credit card balances, Jacki would save $15,258.4 - $13,568.16 = $1,690.24 over the course of 24 months.

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a t-bond with a $1,000 par is quoted at a bid of 105-7 and an ask of 105-9. if you buy the bond, you will pay

Answers

Based on the information provided, it appears that the t-bond in question has a par value of $1,000 and is currently being quoted at a bid of 105-7 and an ask of 105-9. This means that if you were to buy the bond, you would have to pay a price somewhere in between these two values.

The bid price of 105-7 represents the highest price that a buyer is willing to pay for the bond, while the ask price of 105-9 represents the lowest price that a seller is willing to accept for the bond. The difference between these two prices is known as the bid-ask spread and in this case, it is 2 basis points (0.02%).

To calculate the actual price you would pay for the bond, you would need to add the bid price to the spread. So, in this case, you would pay $1,050.07 (or 105-7) plus 2 basis points, which comes out to $1,050.09 (or 105-9).

It's important to note that the quoted prices for bonds can fluctuate throughout the day based on a variety of factors, including market conditions and changes in interest rates. As such, it's important to keep an eye on the bond market and make sure you're getting the best possible price for the bonds you're interested in purchasing.

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The quoted bid-ask spread for the T-bond is 105-7 and 105-9, respectively. The bid price refers to the highest price a buyer is willing to pay for the bond, while the ask price represents the lowest price a seller is willing to accept for the bond.

Therefore, if you want to buy the T-bond, you will have to pay the higher ask price of 105-9, which translates to a dollar price of 105.28125% of the $1,000 par value, or $1,052.81. This is because the bond is trading at a premium, which means that the market price is above its par value. The premium is calculated as the percentage difference between the market price and the par value, and it reflects the difference between the bond's coupon rate and the prevailing market interest rate.

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Home Express bought a delivery truck on January 1st 2020. The following are the details: Truck cost: $65,000 Residual Value: $5,000 Useful Life years: 5 Estimate Useful Miles: 50,000 If Home Express uses the activity-based method of depreciation and the truck is driven 10,000 miles on December 31, 2020? OA $10,000 B. $13,000 $12,000 $11,000 D

Answers

Using the activity-based method of depreciation, we need to calculate the depreciation rate per mile. This can be done by subtracting the residual value from the original cost and dividing it by the estimated useful miles, which gives us ($65,000 - $5,000) / 50,000 = $1.20 per mile.

Since the truck was driven 10,000 miles on December 31, 2020, we can calculate the depreciation expense for the year as $1.20 per mile * 10,000 miles = $12,000. Therefore, the correct answer is C. $12,000.

It's important to note that the residual value is the estimated value of the asset at the end of its useful life. It is used in calculating depreciation expense as the amount that the asset is expected to be worth when it is disposed of. Additionally, miles driven is a key factor in determining the depreciation expense for an asset as it reflects the amount of wear and tear on the asset. Answering in more than 100 words, we can say that depreciation is an important accounting concept that allows businesses to allocate the cost of an asset over its useful life, reflecting the wear and tear on the asset as it is used to generate revenue.

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Rather than selling all remaining shares today, now you decide to consider a longer holding period. That is, you will sell all remaining shares 5 years later rather than immediately. Assume that the stock price will grow at 10% rate per year going forward, regardless of what the starting price is today. Also, assume that Cisco will pay no other dividend over the next 5 yearscalculate the after-tax liquidation proceeds from selling remaining shares 5 years after the dividend scenario.

Answers

If the investor decides to hold on to the remaining shares for 5 years and then sell them, the after-tax liquidation proceeds would be $44,526.77.

To calculate the after-tax liquidation proceeds from selling the remaining shares 5 years later, we need to first determine the future value of the shares after 5 years, assuming a 10% growth rate per year. We can use the future value formula:

FV = PV x (1 + r)^n

where:

PV = present value of the shares

r = annual growth rate

n = number of years

Let's assume that the present value of the shares is $30,000, which is the remaining shares after the dividend scenario. Using a growth rate of 10% per year for 5 years, we get:

FV = $30,000 x (1 + 0.1)^5

FV = $48,855.02

So the future value of the remaining shares after 5 years is $48,855.02.

To calculate the after-tax liquidation proceeds, we need to determine the tax liability on the capital gains from selling the shares.

Let's assume that the cost basis of the shares is $20,000, which means that the investor has a capital gain of $28,855.02 ($48,855.02 - $20,000).

Assuming a long-term capital gains tax rate of 15%, the tax liability would be:

Tax liability = $28,855.02 x 0.15

Tax liability = $4,328.25

So the after-tax liquidation proceeds would be:

After-tax liquidation proceeds = FV - tax liability

After-tax liquidation proceeds = $48,855.02 - $4,328.25

After-tax liquidation proceeds = $44,526.77

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If you decide to hold onto your remaining shares for five years instead of selling them immediately, you can expect the stock price to grow at a rate of 10% per year. This means that the value of your shares will increase significantly over the next five years.

However, since Cisco will not pay any dividends over this period, your return will be solely based on the appreciation of the stock price.

To calculate the after-tax liquidation proceeds from selling your remaining shares five years later, you will need to determine the tax rate that will apply to your capital gains. If you hold your shares for more than one year, the long-term capital gains tax rate will apply. This rate can range from 0% to 20%, depending on your income level.

Once you have determined the applicable tax rate, you can calculate your after-tax liquidation proceeds by subtracting the taxes from the sale proceeds. For example, if you sell your shares for $10,000 and the tax rate is 15%, your after-tax proceeds would be $8,500.

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Concluding that because free trade is beneficial for the economy as a whole, it must be beneficial for each individual is an example of the:
a.
ad hoc fallacy.
b.
ceteris paribus fallacy.
c.
fallacy of division.
d.
fallacy of composition.

Answers

The correct answer is d. fallacy of composition.

Fallacy of composition. This fallacy assumes that what is true for the whole must also be true for the parts, which is not necessarily the case. While free trade can be beneficial for the economy as a whole by increasing competition and driving down prices, it does not guarantee that every individual will benefit. Some individuals or industries may suffer job losses or increased competition from cheaper imports. It's important to consider the potential winners and losers of free trade policies and weigh the overall benefits against the potential costs. In summary, while free trade can be beneficial for the economy, it does not guarantee benefits for every individual.

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f the price of the good was 2,735 dollars, what would be the profit maximizing output (or q)?

Answers

The profit-maximizing output level (q) would be the quantity where the marginal cost is equal to $2,735 as MC = MR.

To identify the profit-maximizing output level (q), we must locate the point at which the marginal cost (MC) equals the marginal revenue (MR) of manufacturing one more unit of the good.

However, we can assume that the firm operates in a perfectly competitive market in which the market price of the good equals the firm's marginal revenue (P = MR). If the price of the good is $2,735, the firm's marginal revenue will similarly be $2,735.

Assuming that the firm's marginal cost is constant, we can use the following formula to calculate the profit-maximizing output level:

MC = MR

where MC represents the marginal cost and MR represents the marginal revenue.

In a completely competitive market, the marginal revenue equals the price, hence we can rewrite the calculation as:

MC = P

When we enter the price of $2,735 into the formula, we get:

MC = $2,735

As a result, the profit-maximizing output level (q) is the amount at which the marginal cost equals $2,735. It is impossible to establish the exact amount without additional information about the firm's cost structure.

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To determine the profit maximizing output or q when the price of the good is $2,735, we need to use the marginal revenue and marginal cost approach.

Marginal revenue is the additional revenue earned by producing one additional unit, while marginal cost is the additional cost of producing one additional unit.

Assuming that the marginal cost is constant at $1,000, we can calculate the marginal revenue by taking the derivative of the total revenue function. If the demand function is Q = 10,000 - 2P, then the total revenue function is TR = PQ = 10,000Q - 2Q^2. Taking the derivative of this function gives us MR = 10,000 - 4Q.

Setting MR equal to MC, we get 10,000 - 4Q = 1,000, or Q = 2,250.

Therefore, the profit maximizing output or q when the price is $2,735 is 2,250 units.

This will yield a total revenue of $6,128,125 and a total cost of $2,250,000, resulting in a profit of $3,878,125.

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the industrial internet is? a. faster internet b. used by ecommerce c. used by ge d. integrates physics and analytics

Answers

The industrial internet is D. integrates physics and analytics.

What is industrial internet?

The industrial internet of things (IIoT) can be described as the interconnected sensors as well as the instruments which can be use together in a networked  manner with computers' industrial applications,

It should be noted that these could encompass manufacturing and energy management. However industrial internet  can be seen as the interconnected sensors and One example can be seen in the automotive industry, whereby IIoT devices is been used in the manufacturing process and the system helps to maintain these systems  as well as spoting potential problems before they can disrupt production.

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What is the current ratio for a company with the following information: Account Amount Cash $90,000 $72,000 Accounts receivable $110,000 $75,000 Inventory Buildings Accounts payable Current portion of long-term debt Long-term debt $81,000 $18,000 $130,000 OA. 3.51 OB. 1.52 Oc 2.75 OD.3.36

Answers

The current ratio for a company is a measure of its ability to pay off short-term liabilities with its current assets. To calculate the current ratio, we divide the company's current assets by its current liabilities.

Using the information provided, we can calculate the current ratio as follows:
Current assets = Cash + Accounts receivable + Inventory + Buildings
= $90,000 + $110,000 + $81,000 + $18,000
= $299,000
Current liabilities = Accounts payable + Current portion of long-term debt
= $75,000 + $130,000
= $205,000
Current ratio = Current assets / Current liabilities
= $299,000 / $205,000
= 1.46
Therefore, the current ratio for the company is not one of the options provided. The closest option is 1.52, but it is still not the correct answer.
In conclusion, the current ratio is a key financial ratio that helps investors and creditors assess a company's liquidity position. In this case, the company has a current ratio of 1.46, which indicates that it may have some difficulty in meeting its short-term obligations.

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the term used to describe the percentage of homes purchasing a pay-per-view event is the:

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The term used to describe the percentage of homes purchasing a pay-per-view event is the "buy rate".

The buy rate is a metric used in the entertainment industry to measure the popularity and success of a pay-per-view event. It represents the percentage of households that purchase the event out of the total number of households that have access to the event.

The buy rate is a crucial metric for event promoters, broadcasters, and advertisers. It helps them determine the financial success of the event and make informed decisions about future events.

For example, if the buy rate is high, it may indicate that there is strong demand for the event and that future events of a similar nature may also be successful.

On the other hand, if the buy rate is low, it may suggest that the event did not resonate with the audience, and changes may need to be made to future events.

In addition to the buy rate, other metrics such as total revenue, average revenue per user, and the number of viewers can also be used to evaluate the success of a pay-per-view event.

However, the buy rate remains an essential metric that provides valuable insights into the popularity and commercial viability of a pay-per-view event.

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do funds that are likely to trade at substantial discounts from their net asset values include: exchange traded funds? closed-end funds? a no no b no yes c yes no

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Both exchange-traded funds (ETFs) and closed-end funds are likely to trade at substantial discounts from their net asset values. This is because they are both traded on an exchange like stocks, and their prices are determined by supply and demand in the market rather than solely by the value of their underlying assets.

However, ETFs are generally more liquid and have lower fees than closed-end funds, which may make them a more attractive investment option for some investors. Exchange-traded funds (ETFs) typically trade close to their net asset values because of their structure, which allows for the creation and redemption of shares to keep the market price close to the underlying net asset value.

Closed-end funds, on the other hand, have a fixed number of shares and do not have the same creation/redemption mechanism as ETFs. This can result in closed-end funds trading at substantial discounts (or premiums) to their net asset values, depending on market supply and demand factors.

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What issues go into designing an information system for a business that allows workers to telecommute or work remotely? For example, a business where managers sometimes work from home and use the phone or internet for



meetings or a business where most of the employees write content at home. What are the benefits and drawbacks? Include the impact on both the business and the workers in your answer

Answers

Designing an information system that allows employees to telecommute or work remotely can be advantageous for both the employees and the business.

However, there are several issues that must be considered to ensure that the system is efficient and effective for all parties involved. Some of these issues are as follows:Benefits of Telecommuting:Increased productivity: Telecommuting allows employees to work in an environment that is comfortable for them, which can result in an increase in productivity. When employees can work in an environment that is not noisy or distracting, they are more likely to produce high-quality work.Lower overhead costs: Businesses that allow their employees to work remotely do not have to worry about providing office space, equipment, or other resources.

This can significantly reduce overhead costs and increase profits.Improved work-life balance: Employees who are given the flexibility to work from home can better manage their work-life balance, which can result in a more satisfied workforce.Drawbacks of Telecommuting:Limited face-to-face communication: Telecommuting can be isolating, as employees may not have the same opportunities for social interaction or collaboration that they would have in a traditional office setting.

This can lead to feelings of loneliness or disconnection from the team.Lack of supervision: Supervisors may have a hard time monitoring employees' progress or making sure they are staying on task when they are not physically present.Impact on the Business:Telecommuting can lead to lower overhead costs for the business, increased productivity, and a more satisfied workforce. However, it can also lead to a lack of face-to-face communication, which may impact team morale and collaboration.

Impact on the Workers:Telecommuting can lead to increased work-life balance and greater job satisfaction for employees. However, it can also lead to feelings of isolation or disconnection from the team and a lack of supervision, which can be stressful for some workers.

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true or false. digital marketing most typically involves targeting a very broad segment of potential customers

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Digital marketing most typically involves targeting a very broad segment of potential customers False


Digital marketing involves targeting specific and relevant segments of potential customers through various online channels such as social media, search engines, email marketing, and more. This approach is known as targeted marketing and is based on data and insights that help businesses identify and reach their ideal audience.

Digital marketing is a strategic approach that businesses use to promote their products or services to potential customers through online channels. One of the key advantages of digital marketing is that it allows businesses to reach a highly targeted audience, rather than a broad one. For instance, businesses can target customers based on demographics, location, interests, behavior, and other criteria. By doing so, businesses can create highly personalized and relevant campaigns that resonate with their target audience. Targeted marketing is an effective way to increase the return on investment (ROI) of digital marketing campaigns. By targeting a specific audience, businesses can reduce wastage and optimize their spending. For instance, if a business wants to promote a new product to female customers aged between 25-34 years who live in New York City, they can use digital marketing tools to reach this audience specifically. This approach can help businesses to save money and generate better results than if they had targeted a broader segment of potential customers.

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Merck & Co. included the following footnote in its 2013 annual report:Environmental MattersThe Company believes that there are no compliance issues associated with applicable environmental laws and regulations that would have a material adverse effect on the Company. The Company is also remediating environmental contamination resulting from past industrial activity at certain of its sites. Expenditures for remediation and environmental liabilities were $20 million in 2013, $14 million in 2012 and $25 million in 2011, and are estimated at $117 million in the aggregate for the years 2014 through 2018. These amounts do not consider potential recoveries from other parties. The Company has taken an active role in identifying and providing for these costs and, in management?s opinion, the liabilities for all environmental matters, which are probable and reasonably estimable, have been accrued and totaled $213 million at December 31, 2013. Although it is not possible to predict with certainty the outcome of these environmental matters, or the ultimate costs of remediation, management does not believe that any reasonably possible expenditures that may be incurred in excess of the liabilities accrued should exceed $84 million in the aggregate. Management also does not believe that these expenditures should have a material adverse effect on the Company's financial position, results of operations, liquidity or capital resources for any year.Required:a. How does Merck account for environmental liabilities that are probable and reasonably estimable? At December 31, 2013, how much were these liabilities?b. How does Merck account for environmental liabilities that are reasonably possible? At December 31, 2013, how much were these liabilities?c. The footnote mentions $213 million and $117 million as estimated future expenditures. Explain what each of these amounts represents and why they differ.d. Use the financial statement effects template below, to record Merck's 2013 remediation and environmental expenditures, assuming that the liability had already been accrued on Merck's books.

Answers

Merck accrues and discloses environmental liabilities. The accrued liabilities were $213M, and the estimated reasonably possible expenditures were $117M as of 2013.

a. Merck accounts for environmental liabilities that are probable and reasonably estimable by accruing for the expected costs associated with remediation and environmental liabilities. On December 31, 2013, these liabilities amounted to $213 million.

b. Merck accounts for environmental liabilities that are reasonably possible by disclosing them in its footnotes but does not accrue for them on its financial statements. On December 31, 2013, the estimated reasonably possible expenditures for environmental liabilities were $117 million.

c. The $213 million represents the total amount of accrued liabilities for environmental remediation and liabilities that are probable and estimable over the next five years, while the $117 million represents the estimated expenditures for environmental liabilities that are reasonably possible over the next five years.

The difference between the two amounts is due to the fact that the $213 million is based on liabilities that are probable and estimable, while the $117 million is based on liabilities that are only reasonably possible.

d. Financial statement effects template:

Debit: Remediation and Environmental Expenses $20 million

Credit: Cash $20 million

The entry above records Merck's 2013 remediation and environmental expenditures, assuming that the liability had already been accrued on Merck's books. The expense is debited, and the cash paid is credited. This entry reduces the net income of Merck for the year and reduces the company's cash balance.

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Jordan finalized the project timeline and the costs associated with the development of the wellness program. He has assigned all of the project work to team members. Jordan is ready to start the managing phase of the project, but first he must go through the __________, a checkpoint in which he gains the approval of the project sponsor

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Jordan must go through the project initiation or project kickoff phase, a checkpoint in which he gains the approval of the project sponsor.

During this phase, Jordan presents the project timeline, costs, and assigned work to the project sponsor for review and approval.

This checkpoint ensures that the project aligns with the sponsor's goals and objectives and that necessary resources and support are provided. Once the project initiation phase is successfully completed and the project sponsor approves the plan, Jordan can proceed with the managing phase and begin executing the project according to the approved timeline and budget.

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suppose a closed economy has an aggregate savings equal to 250 and intended investment equal to 550. by how much must the government be in surplus?

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The government must create a surplus of at least 300 to bridge the savings-investment gap and ensure a stable economic environment.

In a closed economy, the total savings and investment must be equal, as there is no international trade to factor in. In this scenario, the aggregate savings are only 250, whereas the intended investment is 550. This implies that there is a savings-investment gap of 300. This gap indicates that there is a deficit in the economy, which the government can fill by creating a surplus. The government can raise additional revenue through taxes and other sources and reduce its expenditures to create a budget surplus. The magnitude of the surplus required to fill the gap would be equal to the difference between investment and savings, which is 300.
In conclusion, the government can bridge the gap between aggregate savings and intended investment by creating a surplus. In this case, a surplus of at least 300 would be required to ensure a stable economy. It is important for the government to monitor the savings-investment gap and adjust its policies accordingly to maintain a healthy economic environment.

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Quote two activities of purchasing functions from mpumi bottle manufacturer

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Two activities of the purchasing function at Mpumi Bottle Manufacturer include supplier selection and negotiation of contracts.

The purchasing function at Mpumi Bottle Manufacturer plays a crucial role in ensuring the efficient procurement of goods and services necessary for the company's operations. Two key activities within this function are supplier selection and negotiation of contracts.

Supplier selection involves identifying and evaluating potential suppliers to determine which ones can meet Mpumi Bottle Manufacturer's quality, price, and delivery requirements. This process may include conducting supplier evaluations, assessing their capabilities, reviewing their track record, and considering factors such as reliability, responsiveness, and financial stability. The goal is to establish partnerships with reliable suppliers who can consistently meet the company's needs and contribute to its success.

Once suppliers are selected, the purchasing function engages in contract negotiations. This involves discussing terms and conditions, pricing, payment terms, delivery schedules, and other contractual aspects with the suppliers. The objective is to secure favorable agreements that align with Mpumi Bottle Manufacturer's business objectives, ensure competitive pricing, mitigate risks, and establish mutually beneficial relationships with suppliers. Effective negotiation skills and understanding of market dynamics are critical in achieving favorable contract terms.

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spending on rebuilding an interstate highway connecting new york city and hartford, connecticut, is an example of:a. exports b. consumption c. investment d. government expenditure

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The c. investment, Spending on rebuilding an interstate highway is a form of investment because it involves the creation of a long-lasting asset that will generate economic benefits over time.

In this case, the interstate highway would improve transportation infrastructure between two major cities, facilitating the movement of goods and people and potentially boosting economic activity in the region.

Government expenditure refers to the spending by the government on various public goods and services, such as infrastructure, education, healthcare, and defense. In this case, rebuilding an interstate highway is a public infrastructure project, and thus, the spending falls under the category of government expenditure.

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An airline is deciding which meals to buy from its provider. If the airline orders the same number of meals of types I and II totalling 150 meals, the cost is $1275; if they order 60% of type I and 40% of type II, the cost is $1260. What is the cost of each type of meal?

Answers

Let's start by setting up two equations based on the information given:
Equation 1: I + II = 150 and cost of I + cost of II = $1275
Equation 2: 0.6I + 0.4II = 150 and cost of 0.6I + cost of 0.4II = $1260
We can simplify Equation 2 by multiplying both sides by 10 to get rid of the decimal:
6I + 4II = 1500 and cost of 6I + cost of 4II = $12600

Now we have two equations with two variables (cost of I and cost of II). We can solve for one variable in terms of the other in one equation, and substitute that into the other equation:
I + II = 150  -->  II = 150 - I
cost of I + cost of II = $1275  -->  cost of I + cost of (150 - I) = $1275
Simplify:
cost of I - cost of I + cost of 150 = $1275
cost of 150 = $1275
cost of I = $8.50

Substitute this value into Equation 2:
6I + 4II = 1500
6($8.50) + 4II = 1500
51 + 4II = 1500
4II = 1449
II = 362.25
So the cost of each type of meal is $8.50 for type I and $362.25 for type II.

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Rank the following in asset size from largest to smallest in 2019.
I. Mutual funds
II. Insurance companies
III. Depository institutions
I, II, III
I, III, II
II, III, I
III, II, I
III, I, II

Answers

Mutual funds are investment vehicles that pool money from multiple investors to purchase securities such as stocks, bonds, and other assets. Insurance companies offer financial protection against potential future losses to individuals or organizations in exchange for regular premium payments.

Depository institutions are financial institutions such as banks and credit unions that offer services such as accepting deposits, making loans, and providing checking and savings accounts.

Based on the asset size in 2019, the ranking from largest to smallest would be II, III, I. Insurance companies had the largest asset size, followed by depository institutions, and then mutual funds. According to data from the Federal Reserve, the total assets of insurance companies in the United States were $9.3 trillion in 2019, while depository institutions had total assets of $17.9 trillion, and mutual funds had total assets of $6.7 trillion.

It is important to note that these rankings can change from year to year and are influenced by various factors such as economic conditions, market performance, and regulatory changes. Additionally, the asset size of a company or institution does not necessarily indicate its financial health or performance, as there are other metrics such as profitability and solvency that should also be considered.

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