Security Returns If State Occurs
State of Probability of
Economy State of Economy Roll Ross
Bust .30 -18 % 18 %
Boom .70 17 5
Calculate the expected returns for Roll and Ross by filling in the following table (verify your answer by expressing returns as percentages as well as decimals): (Negative values should be indicated by a minus sign. Do not round intermediate calculations. Round your E(R) answers to 2 decimal places and your Product answers to 4 decimal places. Omit the "%" sign in your response.)

Answers

Answer 1

The expected return for Roll is 6.5%, and the expected return for Ross is 8.9%. These values represent the average returns that can be expected.

The expected returns for Roll and Ross can be calculated using the given data. The table below shows the calculations:

State of Economy Probability Roll's Return Ross's Return

Bust 0.30 -18% 18%

Boom 0.70 17% 5%

To calculate the expected returns, we multiply the probability of each state of the economy by the corresponding return and sum the results.

For Roll:

Expected return = (Probability of Bust * Roll's Return in Bust) + (Probability of Boom * Roll's Return in Boom)

Expected return = (0.30 * -18%) + (0.70 * 17%)

Expected return = -0.054 + 0.119

Expected return = 0.065 or 6.5%

For Ross:

Expected return = (Probability of Bust * Ross's Return in Bust) + (Probability of Boom * Ross's Return in Boom)

Expected return = (0.30 * 18%) + (0.70 * 5%)

Expected return = 0.054 + 0.035

Expected return = 0.089 or 8.9%

The expected return for Roll is 6.5%, and the expected return for Ross is 8.9%. These values represent the average returns that can be expected based on the given probabilities and returns for each state of the economy. It's important to note that these calculations assume that the given probabilities accurately represent the likelihood of each state occurring and that the returns are representative of historical or projected data.

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Related Questions

let’s focus on the second quarter since the change in velocity is so dramatic. during that quarter, the cpi fell by 0.9%, real gdp fell by 9.0%, the money supply rose by 23%, and velocity changed by_____%. give your answer to one decimal.

Answers

Due to the fact that the economy shrank in the second period and GDP decreased by 0.9%, the cpi fell by 0.9%, and the money supply rose by 23%.

Money's velocity varies according to the amount of money available and how great a demand there is for it. Both of these measurements and the velocity of money typically have an inverse connection, which means that an increase in the supply or demand of money frequently causes an increase in the velocity of money.

For this application, economists typically use GDP and either M1 or M2 for the money supply. Therefore, the velocity of money equation is written as GDP divided by money supply.

\(\text{Velocity of Money} = \frac{ \text{GDP} }{ \text{Money Supply} }\)

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the magnitude of operating leverage for perkins corporation is 4.5 when sales are $100,000. if sales increase to $110,000, profits would be expected to increase by what percent? a. 4.5% b.14.5% c.45% d.10%

Answers

It would be anticipated that the profit would rise by 45%. The appropriate response to the given question is option (c).

What is Operating Leverage?

The percentage of a company's cost structure that is made up of fixed expenses as opposed to variable costs is measured by operating leverage. A corporation is said to have more operating leverage if its fixed expenses are higher than its variable costs.

Magnitude of operating leverage= 4.5

Old sales= $100000

New sales= $110000

Percentage increase in sales:

(New-old)/old = (110,000-100,000)/100,000

                       = 10%

Consequently, a percentage rise in profit might be anticipated:

sales percentage growth times the degree of operational leverage

                        = 10% * 4.5

                        = 45%

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True or false: Flexible prices help to explain how unexpected changes in demand lead to the fluctuations in GDP and employment that occur over the course of the business cycle.

Answers

Answer:

True this is the answer thanks please rate

gregor company reports net income of $305,000 for the year ended december 31. it also reports $93,700 depreciation expense and a $10,000 loss on the sale of equipment. its comparative balance sheet reveals a $40,200 increase in accounts receivable, a $10,200 decrease in prepaid expenses, a $15,200 increase in accounts payable, a $12,500 decrease in wages payable, and a $100,000 decrease in notes payable. calculate the cash provided (used) in operating activities using the indirect method. group of answer choices $351,000 $371,400 $461,800 $381,400

Answers

The cash provided (used) in operating activities using the indirect method is $381,400.

To calculate the cash provided (used) in operating activities using the indirect method, we start with net income and make adjustments for non-cash expenses, gains, and losses, as well as changes in working capital.

Starting with the net income of $305,000, we add back the depreciation expense of $93,700 and the loss on the sale of equipment of $10,000. This gives us a subtotal of $408,700.

Next, we consider the changes in working capital. The increase in accounts receivable of $40,200 and the decrease in prepaid expenses of $10,200 are subtracted, as they represent an increase in assets. The increase in accounts payable of $15,200 and the decrease in wages payable of $12,500 are added, as they represent an increase in liabilities. Finally, the decrease in notes payable of $100,000 is added back, as it represents a decrease in liabilities.

Adding these adjustments to the subtotal, we get $408,700 - $40,200 - $10,200 + $15,200 - $12,500 + $100,000 = $461,800.

However, the question asks for the cash provided (used) in operating activities, so we need to adjust for the loss on the sale of equipment, which is a non-operating item. Subtracting the loss on the sale of equipment of $10,000, we get $461,800 - $10,000 = $451,800.

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It is only necessary to underline vocabulary words identified in a test question. Please select the best answer from the choices provided T F?

Answers

Answer:

The answer you are looking for is false

Explanation:

Got it right edge 2021

Answer:

False

Explanation:

Edge 2021

1. A parent company sells land to its wholly-owned subsidiary in 2015, reporting a gain of $35,000. In 2020, the subsidiary sells the land to an outside developer and reports a gain of $60,000. In the 2020 consolidation working paper, the elimination of this transaction will result in: A. A $35,000 decrease in beginning retained earnings B. A $60,000 increase in investment in subsidiary C. A $95,000 decrease in land D. A $35,000 increase in gain on sale of land

Answers

Answer:

Explanation:

A $60,000 increase in investment in subsidiary

1. You deposit $5000 each year into an account earning 5% interest compounded annually. How much will you have in the account in 35 years?
$________
2. You deposit $400 each month into an account earning 7% interest compounded monthly.
a) How much will you have in the account in 20 years?
$______
b) How much total money will you put into the account?
$___________
c) How much total interest will you earn?
$_______________
3. You have $400,000 saved for retirement. Your account earns 7% interest. How much will you be able to pull out each month, if you want to be able to take withdrawals for 25 years?
$___________
PLEASE HELP ME IM STRUGGLING IN THIS PLEASE I DON'T WANT TO FAIL. LAST PERSON ANSWERED WRONG PLEASE HELPPP THANK YOU

Answers

1. You deposit $5000 each year into an account earning 5% interest compounded annually. How much will you have in the account in 35 years?

The formula for calculating the future value of an annuity is:FV = PMT × (((1 + r)n - 1) / r), where:FV = Future Value of the AnnuityPMT = Amount Deposited each Yearr = Interest Rate Per Periodn = Number of PeriodsFor the given problem, the amount deposited each year (PMT) is $5000, the interest rate (r) is 5% and the number of periods (n) is 35.

We need to calculate the future value (FV) of the annuity.So, we get:FV = $5000 × (((1 + 0.05)35 - 1) / 0.05)FV = $5000 × (((3.386) / 0.05))FV = $5000 × 67.72FV = $338,581.74Therefore, the amount in the account after 35 years will be $338,581.74. 2.

You have $400,000 saved for retirement. Your account earns 7% interest. How much will you be able to pull out each month, if you want to be able to take withdrawals for 25 years?To find out the amount you can withdraw each month, we can use the formula for Present Value of an Annuity, which is given as:PV = PMT x ((1 - (1 + r)-n) / r), where:PV = Present Value of Annuity

PMT = Amount of each paymentr = Interest rate per periodn = Number of periodsWe are given that the amount in the account is $400,000, the interest rate (r) is 7% and the number of periods (n) is 25 x 12 = 300 months. We need to calculate the amount that can be withdrawn each month (PMT).

So, we get:$400,000 = PMT x ((1 - (1 + 0.07)-300) / 0.07)Simplifying this equation gives:PMT = $400,000 / ((1 - (1 + 0.07)-300) / 0.07)PMT = $2,864.49Therefore, you will be able to withdraw $2,864.49 each month for 25 years.

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assume the following information: milling department units percent complete materials conversion beginning work in process inventory 300 45% 30% units started into production during march 6,000 units completed during march and transferred to the next department ? 100% 100% ending work in process inventory 500 60% 40% if the equivalent units of production for materials is 6,100 using the weighted-average method, then how many units were completed during march and transferred to the next department?

Answers

The number of units completed during March and transferred to the next department is 5,600.

To calculate the units completed during March and transferred to the next department, we can use the following formula:
Units completed = Equivalent units of production - Units in ending work in process inventory
Substituting the given values, we have:
Units completed = 6,100 - 500

Simplifying, we find:
Units completed = 5,600
Therefore, the number of units completed during March and transferred to the next department is 5,600.

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What term is used to identify a form of outsourcing in which services are provided by an organization whose employees are in a foreign country?.

Answers

Offshoring is the term used to identify a form of outsourcing in which services are provided by an organization whose employees are in a foreign country.

What is the meaning of Off-Shoring?

Offshoring is the procedure by which a commercial operation, including manufacturing, or a supporting operation, such as accountancy, from one nation to another. Offshoring is typically associated with a corporation, though individual states may also use it.

Offshoring is the process of moving operations or ownership of an entire operation to a nation other than the one (or nations) in which the company requesting the services is based.

Offshoring is the process of outsourcing operations abroad, typically by businesses from rich nations to less developed nations, to lower operating costs.

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Frannie has determined that if she is a computer technician, a lot of the skills she will learn on the job would also
be useful in several other careers that interest her.
Which stage of career matching is she in?

Answers

Explanation:

she is on computer programer where she works with computer viruses and etc

Answer:

identifying transferable skills

Explanation: its useful in other jobs too

At a minimum, your vehicle insurance policy must provide coverage of _________ for injury or death of one person. $10,000 $30,000 $15,000 Submit answer

Answers

At a minimum, your vehicle insurance policy must provide coverage of  $15,000 for injury or death of one person.

In most states, the minimum amount of liability coverage that your car insurance policy must provide is $15,000 per person for injury or death. This means that if you are at fault in a car accident that results in the injury or death of one person, your insurance company will be responsible for paying up to $15,000 to the victim or their family.

Some states have higher minimum liability requirements. For example, California requires drivers to have $15,000 per person and $30,000 per accident for injury or death.

It is important to note that the minimum liability coverage requirements are just that - a minimum. You may want to consider purchasing more liability coverage, especially if you have assets that you want to protect. For example, if you own a home or a business, you may want to have liability coverage of at least $100,000 or more.

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Final answer:

The minimum coverage for injury or death in a vehicle insurance policy depends on specific jurisdiction regulations, possibly ranging from $10,000 to $50,000 or more. Insurance companies gather premiums from policyholders, creating a pool to cover claims. Policyholders are divided into risk groups, influencing their premium prices.

Explanation:

The minimum coverage for injury or death of one person in a vehicle insurance policy often depends on the laws of a particular state or country. However, without a specified jurisdiction in your question, it's hard to provide a precise amount. Typically, limits can range anywhere from $10,000 to $50,000 or more.

Let's discuss how insurance works to give you more context. In insurance, policyholders, such as car drivers, pay premiums to insurance companies. The collective amount of these premiums forms a pool that is utilized when a claim, such as for an accident or injury, is made. For example, if each of 100 drivers pays an annual premium of $1,860, the insurance company will collect a total sum of $186,000. This gap is often enough to cover the total costs of the accidents that occurred amongst these drivers during the policy period.

Furthermore, insurance companies typically divide policyholders into different risk groups and adjust premiums accordingly. For instance, if we have a group of 100 drivers, and 60 of them only had minor accidents costing about $100 each, while 30 had medium-sized accidents that cost $1,000 each and 10 had major accidents costing around $15,000 each. Those with fewer or smaller claims generally pay less in premiums because they represent a lower risk to the insurance company. Thus, in effect, those with higher claims or damages are being paid for by those with lower claims or damages.

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terrance, age 47, withdrew $22,000 from an employer-sponsored qualified retirement plan to pay for a new rv. compute the tax cost (and premature withdrawal penalty, if applicable) of the withdrawal if terrance has a 37% marginal tax rate on ordinary income. Tax Cost is_____?

Answers

If terrance, age 47, withdrew $22,000 from an employer-sponsored qualified retirement plan to pay for a new rv. The tax cost is: $10,340.

How to find the tax cost?

Using this formula to find the tax cost

Tax cost=(Amount withdrew × Marginal tax)+ Premature withdrawal penalty

Let plug in the formula

Tax cost=x ($22,000 × 37%) + $2,200

Tax cost=$8,140+$2,200

Tax cost=$10,340

Therefore the  tax cost  is is the amount of $10,340.

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What type of accounting is more rules-based?

Answers

GAAP

Explanation:

That would be the Generally Accepted Accounting Principles (GAAP) system which is rules based.

Alternatively:

The International Financial Reporting Standards. (IFRS) on the otherhand would be the one thats principles based.

Employers search résumés for keywords manually and electronically. Please select the best answer from the choices provided T F.

Answers

A resume is a formal document created by a job candidate to itemize their skills for a post.

What are the meanings of keywords in job applications?

Keywords are words or brief sentences that correspond to work requirements. Hiring managers use keywords to sort through resumes so that they can concentrate on applicants who have the qualifications and experience they seek.

Many businesses also utilize applicant tracking systems (ATS) to discover the most qualified candidates.

Thus the statement is true.

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Answer:

true

Explanation:

Which of the following is TRUE? *
Short term goals are typically 1 - 2 years long
An example of a goal being achievable is someone wanting it really badly
Your most expensive expenses are typically entertainment and clothing
If you are over budget, you must increase income or decrease total expenses

Answers

Answer:

increase income or decrease total expenses

Explanation:

Over budget refers to a situation where the estimated costs exceed the actual resources available or the amount allocated. Over budget is when expenses are more than allocated finances.

There are insufficient funds in an over budget. To address the insufficient funds issue, more resources must be obtained, or the expenses must be reduced.

Clearwater Hampers is a small British company that sells luxury food and drink in various combinations in picnic hampers. Food and wine are seen as classic, fail-safe gifts in a market where present-buying is increasingly tricky. Corporate customers, both in the United Kingdom and abroad, are important to the business. Clearwater has had several orders for more than a quarter of a million dollars. The company's leading salesperson, Peter Austin, is preparing the approach he will use during his first sales call with the CEO of Diamonite, a company that specializes in designing, manufacturing, and installing aircraft interiors for executives and heads of state.

Austin would use creative imagery to: __________

a. develop dramatic visual aids.
b. encourage two-way communication.
c. cope with pre-call stress.
d. establish seller empathy.
e. create synergy with the prospect.

Answers

Austin would use creative imagery to cope with pre-call stress.

Imaginary is a term that refers to thoughts that only exist in the imagination. Imagination is the process that allows the human to manipulate information generated internally in the brain to create a representation in the mind.

Imagination is related to creativity, that is, creating new ideas on any subject. Okay so Austin is using creative images to organize his ideas and express himself well with the Diamonite CEO.

According to the above, the correct answer is C. Cope with pre-call stress.

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Ella presented her master's thesis to her supervising professor. She had linked many data tables into her PowerPoint
presentation. A year later, she was asked to present her findings at a conference. When she tried to present her slides,
many of her links had broken. Which best explains what happened to her links?

Answers

Answer:Stolen

Explanation:somebody prolly stole her work for there own keep your digital stuff save

Answer:

She renamed a folder or file, and the link can no longer be found.

Explanation:

publicly traded companies include segmented financial data prepared for external users that use the same methods used in internal segment reports.

Answers

Publicly traded companies provide segmented financial data that is prepared for external users. This data uses the same methods as the internal segment reports. Here is a step-by-step explanation:  1. Publicly traded companies are those that have shares of their stock available for purchase on a stock exchange.

These companies have to provide financial information to their shareholders, potential investors, and other external stakeholders.

2. Segmented financial data refers to breaking down a company's financial information into different segments or divisions.

This allows for a more detailed analysis of the company's performance and helps users understand how different parts of the business are contributing to overall results.

3. The segmented financial data prepared for external users includes information such as revenue, expenses, assets, and liabilities for each segment or division of the company.

4. To ensure consistency and transparency, publicly traded companies use the same methods for preparing the segmented financial data as they do for their internal segment reports.

This means that the same accounting principles, valuation methods, and allocation techniques are used.

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Publicly traded companies often provide segmented financial data for external users. This data is prepared using the same methods used in internal segment reports. This practice allows external users, such as investors and analysts, to better understand the performance of different segments within the company.



Segmented financial data breaks down a company's financial information by business segment, geographical region, product line, or other meaningful divisions. By providing this level of detail, companies give external users insights into the performance and profitability of each segment.

For example, a multinational company may have segments for different regions, such as North America, Europe, and Asia. By analyzing the segmented financial data, external users can assess how each region contributes to the overall revenue and profitability of the company. This information can help investors make informed decisions about buying or selling the company's stock.

To ensure consistency and transparency, publicly traded companies use the same methods for preparing segmented financial data for external users as they use for internal segment reports. This means that the data is presented using standardized accounting principles and follows established reporting frameworks, such as Generally Accepted Accounting Principles (GAAP) or International Financial Reporting Standards (IFRS).

By using the same methods for both internal and external reporting, companies ensure that the segmented financial data provided to external users is reliable and comparable to the information used for internal decision-making.

In conclusion, publicly traded companies provide segmented financial data for external users to help them understand the performance of different segments within the company. This data is prepared using the same methods as internal segment reports, ensuring consistency and transparency.

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based on actual performance for the period 1950-2017, which one of the following displayed the least amount of risk and why? select the best answer.
T-bills as their returns were less volatile.

Answers

The actual performance based for the period 1950-2017, which displayed the least amount of risk is T-Bills as their returns were less volatile.

What are T-Bills?

A T-Bill which is the short form of treasury bills can be understood as a short-term of the United States government debt obligation backed by the Treasury Department with a maturity of one year or less.

Treasury bills are usually sold in denominations of $1,000. Some can still reach a maximum denomination of $5 million in non-competitive bids. These securities are widely regarded as low-risk and secure investments.

The Treasury Department sells T-Bills during auctions using a competitive and non-competitive bidding process.

T-Bills tend to have a high tangible net worth.

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prepare a managerial report, starting with an executive summary; expected length up to 1-2 pages apa format, excluding cover page, table of content, and appendices. choose a neighborhood on which to focus, from the list provided by your instructor. import your data into power bi (desktop or excel). develop visualizations highlighting important kpi for your neighborhood, including, but not limited to, the total volume of residential sales in the last year in your neighborhood, and the growth (or reduction) of the market over the past 5 years. use the historical data table. if real estate companies, on average, earn a commission of 5 cents per dollar on residential sales, what is the total revenue earned in your neighborhood over the last year of data in the historical table? if your company achieves 12.5% market penetration in your neighborhood, what would its revenue be? write 1-2 pages summarizing your process and findings submit both the report and the power bi file.

Answers

With a market penetration rate of 12.5%, real estate companies in the area can anticipate significant commission revenue. Companies that are interested in entering the Cherry Hill real estate market can benefit from the information in this report.

What is meant by Real Estate?

The term "real estate" refers to land, buildings on it, and any natural resources, such as water or minerals, that may be on or beneath the land. Real estate can be residential or commercial, as well as other kinds of property like farms and undeveloped land. The purchase and sale of real estate are typically carried out with the assistance of real estate brokers or agents, and the value of real estate can fluctuate in response to a variety of factors, such as the state of the economy, supply and demand, and location.

Summary:

The Cherry Hill neighborhood's real estate market over the past year and five years is examined in this report. The analysis focuses on the total volume of residential sales, market growth or decline, and potential real estate company revenue. Power BI is used to present insights into market trends and visualize the data in the report.

Important indicators of performance:

Over the past year, the Cherry Hill neighborhood saw a total of $35,725,000 in residential sales. Over the past five years, the market has expanded by 12%. According to the table of historical data, real estate firms in the region typically receive a commission of 5 cents per dollar on residential sales. Cherry Hill real estate firms are estimated to have made $1,786,250 in revenue last year on the basis of this commission rate.

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What protects consumers against harm from products on the market? Franchises Profit Motives Private property rights Government Regulations

Answers

That would be government regulations because the government always ensures consumers safety.

Please help I'm about to fail my class and i will be grounded for life, 100 pts for it! its financial literacy

Part One–Research
Imagine you bought 100 shares of stock three years ago and are selling it today. Select a company and research its stock prices. You can start with websites like Nasdaq and Fidelity. Determine the stock's price three years ago, or the purchase price, and its price today, or the selling price.

Part Two–Determine the Real Return
Calculate the real return of your stock investment using the following information:

Purchase price of 100 shares of stock
Selling price of 100 shares of stock
10% tax rate
3% inflation rate
2% administrative fee on the selling price of the stock
Part Three–Evaluate
Analyze your research and calculations, and answer the following questions:

What company did you select to buy stock in? Why did you select the company?
Consider the real return of the stock investment. Do you consider it a wise investment? Why or why not?

Answers

1. I imagine buying 100 shares of Amazon.com Inc. on January 3, 2020, when the stock price was $93.75, investing $9,375.  

Today, October 31, 2022, the stock price of Amazon.com Inc. is $102.44.

2. The real return on my investment in Amazon.com Inc was a net loss of  7.12% or $667.60.

3. The company I selected to buy its stock three years ago was Amazon.com Inc.

4. I decided on Amazon.com Inc., hoping to earn spectacular returns since it is a multinational technology company.

5. When I consider the actual return on the stock investment in Amazon.com Inc., I think it was an unwise investment.

6. The investment returned a negative real value because I realized less than I initially invested; I actually lost about $667.60 overall.

What is the stock investment?

Stock investment is the purchase of shares for an ownership interest in a publicly-listed company.

The investor makes the investment with the hope that the investee will grow and perform well over some period, enabling the investor to earn some real returns (in the form of dividends and capital appreciation).

Purchase of 100 shares Jan. 3, 2020 = $9,375 (100 x $93.75)

Sales of 100 shares Oct. 31, 2022 = $10,244 (100 x $102.44)

Tax (10%) = $1,024.40 ($10,244 x 10%)

Inflation (3%) = $307.32 ($10,244 x 3%)

Administration fee on sales (2%) = $204.88 ($10,244 x 2%)

Real Returns in dollars = $8,707.40 ($10,244 - $1,024.40 - $307.32 - $204.88)

Loss on returns = $667.60 ($8,707.40 - $9,375)

Loss percentage = 7.12% ($667.60/$9,375 x 100)

Unfortunately, Amazon.com Inc. did not pay any dividends during the period of my investment, and I really lost funds to taxes, inflation, and administration fees when I sold it.

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Huge differences in the wealth of relatively similar countries such as North and South Korea are an example of how different ______ and political conditions affect businesses.

Answers

Huge differences in wealth are an example of how different economies and political conditions affect businesses.

What is meant by the word economies

This is the word that is used to describe the different economic climate that exists in an area. The economy of a place is used to describe the production and the supply and and demand in the area.

The difference in wealth is as a result of the different economies operated in the area.

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Question 2(Multiple Choice Worth 5 points)
(02.06 MC)
In general, what kind of people earn the most money?
O People with skills that are in high demand and high in supply
O People with skills that are in high demand but low in supply
O People with skills that are in low demand and low in supply
People with skills that are in low demand but high in supply

Answers

Ans: people with skills that are high in demand but low in supply

They earn the most money since skills also follow the law of supply and demand, so consumers are willing to pay more due to low supply

What is business overview

Answers

Answer:

A company overview (also known as company information or a company summary) is an essential part of a business plan. It's an overview of the most important points about your company—your history, management team, location, mission statement and legal structure.

Explanation:

Answer:

It is an essential part of a business plan. It's an overview of the most important points about your company.

Explanation:

Hope this helps!

Setting the price for a new product is less difficult when other products like it are already being sold. This is true because ______. Multiple choice question. consumers will have become used to paying artificially high prices for products in that category all retail outlets in the area can get together and agree to sell the product for the same price, regardless of its actual value consumers will have learned to depend on that type of product and will pay whatever it costs the market will have established a general value for that sort of item

Answers

Answer:

the market will have established a general value for that sort of item

Explanation:

If we set the price of the new product so it would be less difficult in the case when the other kind of products are being sold because in the market the products make the image of the company that the audience will be aware of

So according to the given situation, the last option is correct

And, the rest of the options does not represent the given case

How can public health decrease the economic impact on health care?

Answers

Answer:

First, healthier people are more economically productive. Better health also leads to an increase in savings rates—because healthier people expect to live longer and are naturally more concerned with their future financial needs. Another bridge between health and the economy is education.

Explanation:

Organizational stakeholders include:________
a. employees.
b. unions.
c. suppliers of capital.
d. host communities.

Answers

Organizational stakeholders include employees. The correct answer is A, Stakeholders in the organization are those who are involved in its operations.

Stakeholders in an organization are typically happy when: businesses offer a vibrant, stimulating, and fulfilling work environment.

Everyone is interested in the company. Stakeholders can invest in the company as well, and the results of the business depend on what they do. Such a stakeholder is crucial in determining both the company's future and how it will operate on a daily basis.

Stakeholders are everyone that a company's actions may have an impact on, such as shareholders, business partners, employees, and customers.

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peewee's toys purchased $119,800 worth of pegablock toys on account with credit terms of 2/10, n/30. mar. 12 peewee's toys returned $11,900 of the merchandise to pegablock due to damage during shipment. mar. 14 peewee's toys paid the amount due, less the return and discount.

Answers

The net amount due after Peewee's toys purchase is about $105,504.

What is the net amount due?

Peewee's toys purchased $119,800 worth of pegablock toys on account with credit terms of 2/10, n/30.
On March 12, Peewee's toys returned $11,900 of the merchandise to Pegablock due to damage during shipment.
On March 14, Peewee's toys paid the amount due, less the return and discount.

To calculate the amount due:

Calculate the discount by multiplying the amount of the purchase by the discount rate.

Subtract the discount from the amount of the purchase.

Calculate the net amount due by subtracting the return from the purchase minus the discount.

Therefore, the calculation is as follows:

Discount = $119,800 × 2% = $2,396

Amount Due Less Discount = $119,800 - $2,396 = $117,404

Net Amount Due = $117,404 - $11,900 = $105,504

The net amount due is $105,504.

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Kerr Company's account balances at December 31 for Accounts Receivable and Allowance for Doubtful Accounts were $2,100,000 and $20,000 (Cr.), respectively. An aging of accounts receivable indicated that $170,000 are expected to become uncollectible. The amount of the adjusting entry for bad debts at December 31 is

Answers

Answer:

$150,000

Explanation:

Calculation to determine what The amount of the adjusting entry for bad debts at December 31 is

Using this formula

Bad debts=Accounts receivable-Allowance for Doubtful Accounts

Let plug in the formula

Bad debts=$170,000-$20,000

Bad debts=$150,000

Therefore The amount of the adjusting entry for bad debts at December 31 is $150,000

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