Which of the following statements is False? Multiple Choice
a. Opportunity costs should be considered when making decisions b. A variable manufacturing cost per unit remains constant within the relevant range, c. Sunk costs should be ignored when comparing differential costs between alternatives, d. Differential costs are variable costs d. Common costs cannot be traced to cost objects individually

Answers

Answer 1

The following statements is False Common costs cannot be traced to cost objects individually.

Which expenses factor into decisions all the time?

Costs that can be avoided are always relevant costs. The disparities in revenues or costs between the alternatives are known as differential revenues or costs. The additional expenses or revenues that could be incurred are known as incremental costs or revenues.

Do variable costs ever represent meaningful expenses? False or true?

Response and justification Because variable costs might be relevant or irrelevant depending on other circumstances, they are not necessarily relevant costs. The variable cost will not be regarded as a meaningful expense if it remains the same under many options.

To Know more about relevant costs.

https://brainly.com/question/30656220

#SPJ1


Related Questions

Why do you think brand advocates willingly promote companies via social media? Explain.

Answers

Answer:

As a form of celebrity and endorsement. The company will be viewed by the potential millions of people that follow those brand advocates. This allows the brand to reach a wider audience and raise profits. that is why brand advocates willingly promote companies via social media?

Explanation:

hope this helps. ; )

How will taxation influence the circular flow model

Answers

Answer:

TMS

Explanation:

Taxes (T) imposed by the government reduced the flow of income.

Money paid to foreign companies for imports (M) also constitutes a leakage.

Savings (S) by businesses that would have been put to use are a decrease in the circular flow of an economy's income.

What is a person who starts up and takes on the risk of a business?

Answers

Answer:

An Entrepreneur

an installment purchase agreement provides a measure of protection for

Answers

An installment purchase agreement provides a measure of protection for both the buyer and the seller. For the buyer, it allows them to acquire a desired item without paying the full purchase price upfront. For the seller, it ensures a steady stream of income and reduces the risk of non-payment or default.

An installment purchase agreement is a contract that allows a buyer to make regular payments over a specified period of time to purchase a product or service. This type of agreement provides a measure of protection for both the buyer and the seller.

For the buyer, an installment purchase agreement offers the benefit of acquiring a desired item without having to pay the full purchase price upfront. This can make expensive purchases more affordable and manageable, as the buyer can spread out the payments over time. The agreement also typically includes provisions for resolving disputes and addressing issues such as late payments or default, providing additional protection for the buyer.

For the seller, an installment purchase agreement ensures a steady stream of income over the agreed-upon period. This reduces the risk of non-payment or default, as the buyer is contractually obligated to make the scheduled payments. The agreement may also include provisions for the seller to retain ownership of the item until the full payment is made, further protecting their interests.

Learn more:

About installment purchase agreement here:

https://brainly.com/question/19635833

#SPJ11

Note: The given information for this problem changes with each attempt. Please be sure to re-compute your work each time you submit an answer. A Treasury auction is held for $100MM Face-Value of 7 -year, zero coupon bonds. If auction-invetsors pay $78MM for the bonds, what is r_rf? Do not round intermediate calculations. Round your answer to 4 decimal places and do not represent your answer as a percent. IE: write 0.2672 not 26.72%. __________
Note: The given information for this problem changes with each attempt. Please be sure to re-compute your work answer. Yesterday, you bought a 5-year, zero coupon, $100 face-value Treasury bond with an interest rate (rrf ) of 6.0% and a price of $74.73 per bond. rinf ​ was 2.0% at the time, but jumped to 3.0% overnight. Nothing changed overnight except for the jump in the inflation rate. How much can you sell your r inf ​ + all other treasury bond interest rate risks. Do not round intermediate calculations. Round your final answer to 2 decimal places.
_________

Answers

The risk-free rate (r_rf) cannot be determined with the given information.

The information provided in the first paragraph does not contain sufficient data to determine the risk-free rate (r_rf). The auction price of $78 million for $100 million face-value zero coupon bonds does not directly provide information about the risk-free rate. The risk-free rate represents the return on a risk-free investment, typically government bonds, and is influenced by various economic factors and market conditions.

In the second paragraph, the question involves selling a 5-year, zero coupon Treasury bond. However, the impact of changing inflation rates and other interest rate risks on the bond's selling price is not provided. Without knowing the specific details of the bond, such as its remaining time to maturity, coupon rate, and market conditions, it is not possible to calculate the bond's selling price with the given information.

To determine the risk-free rate or calculate the selling price of a bond, additional details such as the bond's characteristics, market conditions, and interest rate risk factors need to be provided.

Learn more about risk-free rate here:

https://brainly.com/question/28168891

#SPJ11

The graph presents a production possibilities curve, or frontier, PPF for the nation of New Carnitas. Each point on this curve represents a combination of steak and potatoes that this country can produce given its resources and technology. Based on the information in the graph, place the points as indicated.
Point A is an attainable and efficient combination of steak and potatoes.

Point B is consistent with the full employment of available resources.

Between points C and D, the opportunity cost of 1 pound of steak is 2 pounds of potatoes.

Between points E and F, the opportunity cost of 1 pound of potatoes is 3 pounds of steak.

Point G represents an unattainable combination of steak and potatoes.

Point H represents an inefficient use of New Carnitas's resources.

Answers

Given that the graph is not shown here these are the basic points in a production possibility curve.

The attainable point in a production possibility curve

This is the point that lies on the curve of the PPC. This point can be produced by the resources that are available at the moment.

The full employment of resources on the PPC

This is the point that has all the resources in the economy being used in the production of goods and resources.

The unattainable point in a PPC

The unattainable point in the curve is the point that is outside of the curve. At this point the resources available cannot be used for production.

Read more on the production possibility curve here:

https://brainly.com/question/26460726

Fulbright County constructed a library in one of the county's high-growth areas. The construction was funded by a number of sources. Below is selected information related to the Library Capital Project Fund. All activity related to the library construction occurred within the current fiscal year. The county operates on a calendar-year basis. Required: Prepare a journal entry for capital projects fund and governmental activities at the government-wide level.

Answers

In the current fiscal year, Fulbright County constructed a library in a high-growth area, funded by various sources. The task requires preparing a journal entry for the Library Capital Project Fund and governmental activities at the government-wide level.

To provide a comprehensive answer, specific details regarding the funding sources and amounts involved in the library construction are required. However, in general, the journal entry for the Library Capital Project Fund would involve recording the sources of funding as credits to the fund's cash or revenue accounts, depending on the nature of the funds received. Simultaneously, the corresponding debits would be made to the appropriate accounts, such as construction expenditures or asset accounts, to reflect the capital project's costs or the acquisition of the library building.

At the governmental activities level in the government-wide financial statements, the journal entry would entail capitalizing the library building as a long-term asset, recognizing any related depreciation expenses, and reflecting the funding sources as revenues or grants received. These entries aim to accurately represent the financial impact of the library construction on the county's overall financial position and results of operations.

Learn more about fiscal year here: https://brainly.com/question/31655045

#SPJ11

When working on a bullet list you can define a custom bullet character by selecting any symbol available and using it as the bullet.

True

False

Answers

Answer:

True

Explanation:

the incidence of a tax depends on whether the government collects the tax from buyers or sellers.

Answers

True.

The incidence of a tax refers to the distribution of the tax burden between buyers and sellers in a market. Depending on whether the tax is collected from buyers or sellers, the burden or impact of the tax can vary. When the government collects the tax from buyers, it is often referred to as a "buyer-side tax" or "tax on consumption." In this case, buyers bear the direct burden of the tax, leading to a higher price for the product and potentially reduced quantity demanded. On the other hand, when the tax is collected from sellers, it is known as a "seller-side tax" or "tax on production." In this scenario, sellers bear the tax burden, which can lead to higher costs of production and possibly reduced supply. The specific incidence of a tax depends on the relative elasticities of supply and demand in the market and how they respond to changes in price due to the tax.

Learn more about tax burden  here .

brainly.com/question/31923793

#SPJ11

What do socialism and communism have in common? Economics

Answers

Answer:

Both socialism and communism are essentially economic philosophies advocating public rather than private ownership, especially of the means of production, distribution and exchange of goods (i.e., making money) in a society.

Explanation:

Answer:

Both socialism and communism are essentially economic philosophies advocating public rather than private ownership, especially of the means of production, distribution and exchange of goods (i.e., making money) in a society.

Compare the sources of consumer credit travel and entertainment credit revolving check credit closed-end credit

Answers

Answer:

The source of consumer credit is credit obtained on services like banking, insurance and travel.

Explanation:

Source of consumer credit are savings, credit union, sales , life insurance and loans etc. Entertainment credit is a state provided naturla pension credit union its controlled by the members. Is a loan or a form of credit, where the fund is dispersed in full when the loan is closed and must be given back.

the cost of purchasing 100 trees and processing them up to the splitoff point to yield 70,000 sheets of paper and 70,000 pencil casings is $10,000 (joint costs). y's accounting department reported no beginning inventories and an ending inventory of 2,000 sheets of paper. what is the sales value at the splitoff point for paper and the pencil casing?

Answers

According to the expenses, the sales value at the split off point for paper and the pencil casing is $1,428

The term expenses in economics refers a cost that businesses incur in running their operations

Here we have given that the cost of purchasing 100 trees and processing them up to the split off point to yield 70,000 sheets of paper and 70,000 pencil casings is $10,000.

Now, we have to find the the sales value at the split off point for paper and the pencil casing.

While we looking into the given question we have identified that,

Number trees = 100

Number of sheets = 70,000

Number of Pencil casing = 70,000

Cost = $10,000

Here we have to find the number of products invented by one tree, by dividing them, then we get,

=> (70000+70000)/100

=> 140000/100

=> 1400

In this one, 700 sheets and 700 pencil cases.

Then the cost spend by these is calculated as,

=> 10000/1400

=> 7.14

Then the sales value is calculated as,

=>  2,000 sheets of paper x 7.14

=> 1428.

To know more about Sales here.

https://brainly.com/question/17233316

#SPJ4

what factors help determine if a website author is credible

Answers

Answer:

1. Professional credentials: If a website author has professional credentials or a degree in the field they are writing about, that suggests they are credible.

2. Expertise or experience: If the author has expertise or experience in the subject matter, that also suggests they are credible.  

3. Objectivity: If the author is objective and has no clear bias or agenda, that is a good sign of credibility.

4. Sources: If the author cites sources for the information they present and the sources are reliable, that suggests the author is credible.

5. Reputation: If the author has a good reputation among peers and colleagues, that suggests they are credible.

Explanation:

Three Point Sports Inc. manufactures basketballs for the Women's National Basketball Association (WNBA).
For the first 6 months of 2017, the company reported the following operating results while operating at 80% of plant capacity and producing 119,400 units:
Sales $4,656,600
Cost of goods sold 3,684,708
Selling and administrative expenses 526,292
Net income $445,600
Fixed costs for the period were cost of goods sold $ 960,000 and selling and administrative expenses $ 266,000.
In July, normally a slack manufacturing month, Three Point Sports receives a special order for 10,000 basketballs at $ 28 each from the Greek Basketball Association (GBA).
Acceptance of the order would increase variable selling and administrative expenses by $ 0.77 per unit because of shipping costs but would not increase fixed costs and expenses.
Required:
(a) Prepare an incremental analysis for the special order.
(Round all per unit computations to 2 decimal places)
Reject Order Accept Order Net Income Increase (Decrease)
Revenues $ $ $
Cost of goods sold
Selling and administrative expenses
Net income $ $ $
(b) Should Three Point Sports Inc. accept the special order?
(c) What is the minimum selling price on the special order to produce net income of $5.16 per ball?
(Round answer to 2 decimal places)

Answers

Answer:

a) incremental analysis

normal selling price = $39 per ball

variable costs per unit:

variable COGS $22.82variable S&A $2.18 + $0.77 = $2.95

special order for 10,000 balls at $28

                     INCREMENTAL ANALYSIS

                                  without special        with special        differential

                                  order                        order                   amount

sales revenue            $0                            $280,000           $280,000

COGS                         $0                            $228,200           $228,200

S&A expenses           $0                             $29,500             $29,500

Net income                $0                            $22,300             $22,300

b) The special order should be accepted because it increases operating profits by $22,300

c) current margin = $2.23 per ball

sales price to produce net income of $5.16 per ball = $28 + ($5.16 - $2.23) = $30.93 per ball

A. an incremental analysis of $2.95

B. Increases operating profits by $22,300

C. The minimum selling price is $30.93 per ball

Calculation of Fixed costs

a) The incremental analysis

Then, normal selling price = $39 per ball

variable costs per unit:

variable COGS $22.82

Therefore, variable S&A $2.18 + $0.77 = $2.95

special order for 10,000 balls at $28

                                        INCREMENTAL ANALYSIS

                                 without special        with special        differential

                                 order                        order                  amount

                                                                                                                             

sales revenue            $0                            $280,000           $280,000

COGS                         $0                           $228,200           $228,200

S&A expenses           $0                             $29,500             $29,500

Net income               $0                            $22,300             $22,300

b) When The special order should be accepted because it increases operating profits by $22,300

c) Then, The current margin is = $2.23 per ball

After that sales price to produce net income of $5.16 per ball is = $28 + ($5.16 - $2.23) = $30.93 per ball

Find more informarion about Fixed costs here:

https://brainly.com/question/2190896

TRUE / FALSE. "True or false: if employee meals are subtracted from Cost of
Food Sold, the result will be Cost of Food Consumed. Select one: a.

Answers

The main answer is that the statement is true. If employee meals are subtracted from the Cost of Food Sold, the result will be Cost of Food Consumed.

Cost of food consumed is the amount that is used to calculate the food costs. It is the total food purchased minus the ending inventory. Cost of Food Sold is the cost of the food used for sales, which is calculated by subtracting the closing inventory from the sum of the opening inventory and the food purchases.

Employee meals may be taken out of the Cost of Food Sold because they are not typically included in sales. As a result, subtracting the cost of employee meals from the Cost of Food Sold would yield the Cost of Food Consumed.

To know more about Cost visit:-

https://brainly.com/question/29726872

#SPJ11

PLEASE HELP MEE 50 Pts

Question: What are the local, state, and federal taxes for a healthcare business?

Answers

Answer:

Is health care federal state or local?

The U.S. Department of Health and Human Services is the federal government's principal agency involved with health care services. The states cofund and administer their CHIP and Medicaid programs according to federal regulations. (goo gle)

Explanation:

hope this helps

True or false, a bank has determined that the prevailing prime rate is 3.65 percent

Answers

False. The prevailing prime rate is determined by the federal funds rate, which is the interest rate at which banks lend money to each other overnight.

The federal funds rate is set by the Federal Reserve and can change frequently in response to changes in the economy. As of May 20, 2023, the federal funds rate is 0.75-1.00 percent.

While the prime rate is often based on the federal funds rate, it is not necessarily the same as the federal funds rate. The prime rate is the interest rate that banks charge their most creditworthy customers, and it is often based on the federal funds rate plus a markup. The prime rate can vary from bank to bank and can change over time in response to changes in the economy.

Learn more about prime rate visit: brainly.com/question/28791266

#SPJ4

Which of the followind one-time payments are renters typically required to pay In to their first month's rent when they sign a lease

Answers

Answer:

Security deposit

Explanation:

Security deposits is a term that is used to describe a one-time payment that renters are typically required to pay into their first month's rent when they sign a lease.

This security deposit is usually given back to the renter after the tenancy period has ended, and the tenants did not cause any form of unusual damage beyond what is expected through the usage period.

7. XYZ Co. has forecasted June sales of 600 units and July sales of 1000 units. The company maintains ending inventory equal to 125% of next month's sales. June beginning inventory reflects this policy. What is June's required production?
A. 1,100 units
B. -0- units
C. 500 units
D. 400 units

Answers

the correct answer is B, 0 units.XYZ Co. has forecasted June sales of 600 units and July sales of 1000 units. The company maintains ending inventory equal to 125% of next month's sales. June beginning inventory reflects this policy.

To calculate the required production for June, we need to determine the amount of units that will be sold in July since ending inventory for June is 125% of next month's sales. Therefore, ending inventory for June would be 125% x 1,000 = 1,250 units.

To determine June's required production, we need to take into account the change in inventory levels. Beginning inventory reflects the ending inventory of the previous month, which in this case is the 1,250 units that will be carried over from June to July. Therefore, the total units available for sale in June would be beginning inventory (1,250 units) plus June's sales (600 units), which equals 1,850 units.

To calculate June's required production, we subtract the total units available for sale in June (1,850 units) from the desired ending inventory for June (1,250 units). The difference represents the required production for June, which is 1,250 units - 1,850 units = -600 units.

However, since the required production cannot be negative, the answer is 0 units, which means that no production is required in June.

Learn more about inventory  here:

https://brainly.com/question/14184995

#SPJ11

In 5 years, only 2.2% of the current internet businesses will still be operating. Use the exponential model F = Foert to determine the annual rate of internet business failures. Write your answer in c

Answers

The annual rate of internet business failures is approximately 27.8%.

According to the given information, in 5 years, only 2.2% of the current internet businesses will still be operating. This means that the survival rate of businesses after 5 years is 2.2%, and the failure rate is 100% - 2.2% = 97.8%. To determine the annual rate of failures, we can use the exponential decay model F = Foert, where F is the final value (2.2%), Fo is the initial value (100%), r is the annual rate, and t is the time in years. Substituting the given values into the formula, we have 2.2% = 100%e^(r*5). Simplifying the equation, we get e^(r*5) = 2.2%/100%. Taking the natural logarithm of both sides, we have r*5 = ln(2.2%/100%). Dividing both sides by 5, we get r = ln(2.2%/100%)/5 ≈ 0.278. Therefore, the annual rate of internet business failures is approximately 27.8%.

learn more about:- internet businesses here

https://brainly.com/question/33440170

#SPJ11

a. How many more people were working in agri-
cultural jobs in the traditional economy than in
the market economy?

Answers

In the traditional economy there were hundreds more people working than in the market economy

The market economy is an economic term characterized by:

A system of economic relations based on sale and exchangeThe state does not play a decisive role and in which decisions are made by each economic entity independentlyA market economy is characterized by private property

On the other hand, the traditional economy is characterized by:

They are based on traditional economic activities such as agriculture and harvestingFocuses on survivalHas a reduced economic surplus

According to the above, in a traditional economic system, more people are working in agriculture than in the market economy because the market economy is based on industrial production and exchange.

Learn more in: https://brainly.com/question/13425598

What does it mean to live on "borrowed money"?

Answers

to live on “borrowed money” means to live on money that other people are giving you instead of making your own and using that.

Answer:

Using money that you have borrowed from friends and family.

Explanation:

What is a quotation???why is it important to businesses?​

Answers

It also protects your business from legal and financial risks. Developing quoting skills will help you win work and build your customer base. Always quote in writing to avoid confusion. Remember, customers tend to get at least 3 quotes for expensive products or services.

a company reported on its balance sheet: equipment of $10,000 and accumulated depreciation of $2,000. book value for the equipment equals:

Answers

The book value of the equipment when there is equipment of $10,000 and accumulated depreciation of $2,000 is $8,000.

How do you determine the book value of the equipment?

The book value of the equipment is calculated as the original cost of the equipment minus accumulated depreciation.

In this case, the original cost of the equipment is reported as $10,000 and the accumulated depreciation is reported as $2,000.

So, the book value of the equipment can be calculated as:

Book value = Original cost - Accumulated depreciation

Book value = $10,000 - $2,000

Book value = $8,000

Therefore, the book value of the equipment is $8,000.

To know more about accumulated depreciation, visit:

brainly.com/question/28139636

#SPJ1

Select all that apply.
Common skills assessments administered during the employment interview process include:
none of the above
science
keyboarding
math

Answers

Answer:

Keyboarding and Math :)

Explanation:

A sole proprietorship is owned bya. One person.b. Two or more persons.c. Shareholders.d. Bankers.

Answers

A sole proprietorship is owned by (A) one person respectively.

This means that the business is not a separate legal entity from the owner and all profits, losses, and responsibilities of the business fall solely on the individual who owns it.

While it is possible for a sole proprietorship to have employees, the ownership structure is not shared with anyone else.
The owner is personally responsible for all aspects of the business, including liabilities and debts.

This structure differs from partnerships (owned by two or more persons), corporations (owned by shareholders), and businesses with other ownership structures such as banks.

Know more about sole proprietorship here:

https://brainly.com/question/12913114

#SPJ11

1. What are the main professions in Nepal? Name them.​

Answers

Answer:

The main professions in nepal are mostly farming and animal rearing.

The main professions in Nepal are Farming and animal husbandry, however, there are many occupations such as Doctor, engineer, and many others but these two are principal occupations.

In Nepal, animal husbandry is the second major occupation as first is farming, due to the fact that Nepal is an agricultural country. About 30% of the total population is engaged directly in agriculture, however, About 80% of people are involved directly and indirectly in farming as their occupation.

People of Nepal are rear all types of domestic and/or dairy animals like goats, pigs, buffalos, Chickens, Cattle, and dogs, and others. These animals help a huge amount of the people of Nepal as their occupation.

Learn more about other occupations:

https://brainly.com/question/20458908

1. What are the main professions in Nepal? Name them.

What are the two main challenges of the P-system? (select two) Check All That Apply
A. Unhappy customers
B. Length of review period
C. Figuring out when to order Computers
D. Amount of inventory to have

Answers

The two main challenges of the P-system are the length of the review period and the amount of inventory to have. Option (b) and (d) are correct.

A computational model known as a P-system uses a biologically inspired method to carry out calculations in the field of computer science.

A c is a set of membranes that hold chemicals (in finite quantities), catalysts, and rules that specify the potential chemical reactions that could result in the formation of products. Rules could potentially disintegrate membranes or allow substances to travel through them.

Therefore, Options (b) and (d) are correct.

Learn more about P-system, here;

https://brainly.com/question/31964543

#SPJ4

The use of the case analysis method of assessment is most appropriate for assessing ____________. Select one:

a. Ability to perform a technical task

b. Problem-solving abilities

c. Leadership skills

d. Social-interactive skills

Answers

The case analysis method of assessment is most appropriate for assessing __problem-solving abilities__. So correct answer is option b.

The case analysis method involves presenting individuals with real or hypothetical scenarios and evaluating their ability to analyze the situation, identify problems, and propose solutions. This method requires individuals to apply critical thinking, logical reasoning, and decision-making skills to address complex issues. By assessing how well individuals can analyze and solve problems presented in case studies, the case analysis method provides insights into their problem-solving abilities. It is commonly used in academic settings, business settings, and professional assessments to evaluate an individual's ability to apply knowledge and skills to practical situations.

To know more about hypothetical scenarios here: brainly.com/question/6984886

#SPJ11

Assume the assumptions of the CAPM, with E(rm)=[m]%, SDm=[s]% and the rf-=[f]%.If you have a stock that has a beta=[b] what is expected return of the stock?
2. Use the following information for stock ROCK and stock ROLL:
E(rROCK)=.11 SDrock=.20
E(rROLL)=.15 SDroll=.25
rf=.02 Correlation coefficient= .75
A) Find the expected return of a portfolio with 30% allocatedto stock ROCK and 70% allocated to stock ROLL
B) Find the standard deviation of a portfolio with 30% allocated to stock ROCK and 70% allocated to stock ROLL

Answers

The expected return of a portfolio with 30% allocated to stock ROCK and 70% allocated to stock ROLL can be calculated using the weighted average of the expected returns of the individual stocks. Assuming the correlation coefficient is 0.75.

we can use the formula:

Expected Return of Portfolio = (Weight of Stock ROCK * Expected Return of Stock ROCK) + (Weight of Stock ROLL * Expected Return of Stock ROLL)

Expected Return of Portfolio = (0.3 * 0.11) + (0.7 * 0.15)

Therefore, the expected return of the portfolio is 0.132 or 13.2%.

B) The standard deviation of a portfolio can be calculated using the individual stock standard deviations and the correlation coefficient. Assuming the correlation coefficient is 0.75, we can use the formula:

Portfolio Standard Deviation = √[(Weight of Stock ROCK)^2 * (Standard Deviation of Stock ROCK)^2 + (Weight of Stock ROLL)^2 * (Standard Deviation of Stock ROLL)^2 + 2 * (Weight of Stock ROCK) * (Weight of Stock ROLL) * (Standard Deviation of Stock ROCK) * (Standard Deviation of Stock ROLL) * (Correlation Coefficient)]

Portfolio Standard Deviation = √[(0.3)^2 * (0.20)^2 + (0.7)^2 * (0.25)^2 + 2 * (0.3) * (0.7) * (0.20) * (0.25) * (0.75)]

Therefore, the standard deviation of the portfolio is approximately 0.208 or 20.8%.

Learn more about return of the stock here:

https://brainly.com/question/17152687

#SPJ11

The expected return of a portfolio with 30% allocated to stock ROCK and 70% allocated to stock ROLL can be calculated using the weighted average of the expected returns of the individual stocks. Assuming the correlation coefficient is 0.75.

we can use the formula:

Expected Return of Portfolio = (Weight of Stock ROCK * Expected Return of Stock ROCK) + (Weight of Stock ROLL * Expected Return of Stock ROLL)

Expected Return of Portfolio = (0.3 * 0.11) + (0.7 * 0.15)

Therefore, the expected return of the portfolio is 0.132 or 13.2%.

B) The standard deviation of a portfolio can be calculated using the individual stock standard deviations and the correlation coefficient. Assuming the correlation coefficient is 0.75, we can use the formula:

Portfolio Standard Deviation = √[(Weight of Stock ROCK)^2 * (Standard Deviation of Stock ROCK)^2 + (Weight of Stock ROLL)^2 * (Standard Deviation of Stock ROLL)^2 + 2 * (Weight of Stock ROCK) * (Weight of Stock ROLL) * (Standard Deviation of Stock ROCK) * (Standard Deviation of Stock ROLL) * (Correlation Coefficient)]

Portfolio Standard Deviation = √[(0.3)^2 * (0.20)^2 + (0.7)^2 * (0.25)^2 + 2 * (0.3) * (0.7) * (0.20) * (0.25) * (0.75)]

Therefore, the standard deviation of the portfolio is approximately 0.208 or 20.8%.

Learn more about Expected Return of Portfolio here:

https://brainly.com/question/32133392

#SPJ11

Other Questions
If you are standing, your arm is abducted 90-degrees (parallel to the ground), your arm weighs 40 N, and the distance from your glenohumeral joint to your arm's center of gravity is 0.20 m, what is the torque created at the shoulder by the weight of the arm? How much money should be deposited today in an account that earns 6% compounded monthly so that it will accumulate to $1000000 (one million dollars) in 45 years? I will brainlest fo this science quetion imagine you read the following in a newspaper article . What kind of severe weather is being described ? '' Today , air pressure differences over the ocean caused fast spinning winds to form with a calm center . The storm was hundreds of mile wide ...'' This is sciene Which sentence best describes the conflict in "The Runaway"?Mrs. Carson needs help around the house.Mrs. Carson's son passes away.A Chihuahua runs through Rachel's yard.Rachel harshly judges a pet owner. Project: Creating an Investment PortfolioDo you want to own a home some day? Would you like to enjoy your retirement and go on vacations to some of those beautiful destinations advertised on television? Do you sometimes wonder how you are ever going to accomplish these things on your salary?The good thing is that it is never too late to start saving, and time is on your side if you start now and follow through. It takes financial planning, execution of the plan, and some discipline. Once you develop your plan and set your goals, you'll need to execute that plan, and stick to it.An investment portfolio is a collection of assets held for investment purposes by an individual or a company. It includes different asset classes such as stocks, bonds, CDs, and, in some cases, real estate. The amount allocated to each asset class is called asset allocation, which is usually referred to in percentages. The economy and market conditions are always changing, so it is not enough to just build an investment portfolio. You have to monitor the portfolio for its reaction to the economy and social events and periodically make adjustments to assets in your portfolio. Some of the factors that impact an investment portfolio are interest rates, the performance, or lack thereof, of the assets in your portfolio, this list goes on. The key is to keep an eye on it to make sure it is doing what you intended it to do. However, don't try to change your asset portfolio every time the market changes, as that will likely result in losses. The best strategy is to assess your portfolio annually, and only then make any necessary changes.investment portfolioOBJECTIVESCreate an investment portfolio to meet short-term and long-term financial objectives.VOCABULARYasset allocation the mix or combination of assets such as stocks, bonds, CDs, and money-market accountsinvestment portfolio collection of investments owned by an individual or entityIf one of Janes goals is to build an emergency fund, how many months salary should she reserve for this fund and why? Where should the emergency fund be invested and why? Explain your answers using complete sentences. what can a paramedic do when he get a thrombosis problem sorry but i can't speak english very well .. I'm still learning Similarities and differences between the present day nepal and the Ancient Greece Help fast what is is opening file Roxanne ran 43 miles during her exercise routine. It took her a total of 40 minutes to complete her run What was her speed during her run? What is Douglass's purpose for giving this speech? Analyzehow Douglass uses rhetorical questions to convey hispurpose? Cite evidence from the text to support your claim byusing quotation marks. How does the quotation you choseexplain your claim? MRs budney made 12 cupcakes. Ms dykastra made 9 cupcakes. How many cupcakes did the teachers make altogether? what are primary miniral nutrient in plant grawth A salesman sells 2812 storybooks in November.He sells 1845 more storybooks in December than in November.How many more storybooks must he sell in order to reach a totalsale of 8500 storybooks in the 2 months? A tube of toothpaste weights about 1 pound.Ben's mother bought five tubes.how many ounces did the tubes of toothpaste weight in all?PLZ EXPLAIN!! :) Kelly simplified this power of a product.(7w9)31. 73(w9)32. 1343w27Use Kellys steps to simplify this expression.(5w7)2What is the simplified power of the product?a. 5w9b. 10w14c. 25w9d. 25w14 pls help the last one was wrong A vegetable garden has 3 tomato plants for every 5 lettuce plants. How many tomato plants are there if there are 45 lettuce plants? Please help ( no PDF) please help please :) Xie Company identified the following activities, costs, and activity drivers for this year. The company manufactures two types of go-karts: Deluxe and Basic. Activity Expected Costs Expected Activity Handling materials $ 625,000 100,000 parts Inspecting product 900,000 1,500 batches Processing purchase orders 105,000 700 orders Paying suppliers 175,000 500 invoices Insuring the factory 300,000 40,000 square feet Designing packaging 75,000 2 models Required: 1. Compute a single plantwide overhead rate for the year, assuming that the company assigns overhead based on 125,000 budgeted direct labor hours. 2. In January of this year, the Deluxe model required 2,500 direct labor hours and the basic model required 6,000 di what are the multiples of 5,6,8,9?