Stock A has an expected return of 13% and a standard deviation of 18%. Stock B has an expected return of 15% and a standard deviation of 16%. Which would be preferred by a more risk-averse investor? a

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Answer 1

Investors who are more risk-averse, i.e., they would like to avoid risks and are cautious about investing in stocks, would prefer the stock with a lower standard deviation. This is because the standard deviation is a measure of the risk associated with a particular stock.

The stock with a lower standard deviation is expected to have less variation in returns and is considered less risky by investors. Therefore, the more risk-averse investor would prefer Stock B.Stock A:Expected return = 13%Standard deviation = 18%Stock B:Expected return = 15%Standard deviation = 16% The concept of risk and return is essential for investors to make wise investment decisions. The risk and return tradeoff determines how much risk investors are willing to take to earn a specific return. A higher expected return is usually associated with a higher level of risk. However, this risk can be mitigated by diversification and investing in a portfolio of stocks instead of a single stock. Stock A has an expected return of 13% and a standard deviation of 18%. This implies that the returns from Stock A are expected to vary widely around the average return of 13%. The risk associated with Stock A is considered high because the standard deviation is high.Stock B has an expected return of 15% and a standard deviation of 16%.
This means that the returns from Stock B are expected to vary less around the average return of 15% compared to Stock A. The risk associated with Stock B is considered low because the standard deviation is low. Therefore, a more risk-averse investor would prefer Stock B because it has a lower standard deviation and is considered less risky. Investors should always consider the risk and return tradeoff while making investment decisions. A higher expected return is usually associated with a higher level of risk. However, investors can mitigate this risk by diversifying their investments and investing in a portfolio of stocks instead of a single stock. Investors who are more risk-averse would prefer stocks with a lower standard deviation as they are considered less risky and have less variation in returns.

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Related Questions

Consider a coupon bond that has a par value of ​$800 and a
coupon rate of ​12%. The bond is currently selling for ​$ 872.32
and has 2 years to maturity. What is the​ bond's yield to maturity�

Answers

The bond's yield to maturity is 8%.

Yield to maturity (YTM) is the total return expected on a bond investment if the bond is kept until maturity. It is expressed as a percentage and represents the rate of interest the investor will receive if the bond is held until maturity.

In simpler terms, yield to maturity (YTM) is the expected rate of return on a bond investment over its entire life.

Consider a coupon bond that has a par value of ​$800 and a coupon rate of ​12%. The bond is currently selling for ​$ 872.32 and has 2 years to maturity. We need to find the​ bond's yield to maturity.

To calculate the bond's yield to maturity, we can use the YTM formula:

PV = C1 / (1 + YTM) + C2 / (1 + YTM)2 + ... + Cn / (1 + YTM)n + F / (1 + YTM)n where,

PV is the price of the bond today C1, C2, ...,

Cn are the periodic coupon payments

F is the par value (face value) of the bond

n is the number of years to maturity

We are given:

PV = $872.32

C = $800 x 12%

  = $96 (because the coupon rate is given as a percentage of the par value, which is $800)

F = $800

n = 2 years

Substituting these values in the YTM formula, we get:

872.32 = 96 / (1 + YTM) + 96 / (1 + YTM)2 + 800 / (1 + YTM)2

Simplifying this equation, we get a quadratic equation in terms of (1 + YTM)2:

4.3616 = 1 / (1 + YTM)2 + 1 / (1 + YTM)4 + 1

We can use trial and error or a calculator to solve this equation. By trial and error, we can find that YTM = 8%.

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The bond's yield to maturity is 8%.

Yield to maturity (YTM) is the total return expected on a bond investment if the bond is kept until maturity. It is expressed as a percentage and represents the rate of interest the investor will receive if the bond is held until maturity.

In simpler terms, yield to maturity (YTM) is the expected rate of return on a bond investment over its entire life.

Consider a coupon bond that has a par value of ​$800 and a coupon rate of ​12%. The bond is currently selling for ​$ 872.32 and has 2 years to maturity. We need to find the​ bond's yield to maturity.

To calculate the bond's yield to maturity, we can use the YTM formula:

PV = C1 / (1 + YTM) + C2 / (1 + YTM)2 + ... + Cn / (1 + YTM)n + F / (1 + YTM)n where,

PV is the price of the bond today C1, C2, ...,

Cn are the periodic coupon payments

F is the par value (face value) of the bond

n is the number of years to maturity

We are given:

PV = $872.32

C = $800 x 12%

   = $96 (because the coupon rate is given as a percentage of the par value, which is $800)

F = $800

n = 2 years

Substituting these values in the YTM formula, we get:

872.32 = 96 / (1 + YTM) + 96 / (1 + YTM)2 + 800 / (1 + YTM)2

Simplifying this equation, we get a quadratic equation in terms of (1 + YTM)2:

4.3616 = 1 / (1 + YTM)2 + 1 / (1 + YTM)4 + 1

We can use trial and error or a calculator to solve this equation. By trial and error, we can find that YTM = 8%.

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WonderBurgers LLC, is a UK restaurant chain with more than 125 restaurants throughout mainland Britain. The firm positions itself as a 'hip' burger chain, attracting a premium customer segment. Restaurants operate mainly in large metropolitan areas. Recently the company acquired a small burger chain headquartered in France. WonderBurgers, LLC wants to expand operations further by acquiring other restaurant chains in Europe. WonderBurgers LLC decided to bring on a consultant (You) to advise them on how to best expand and set up operations in foreign markets.

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Expanding a business into foreign markets is a significant undertaking, and WonderBurgers LLC must do so cautiously and deliberately. A successful expansion strategy includes understanding the market, adapting to the local environment, and adhering to cultural norms and regulations.

An effective expansion strategy requires a comprehensive market analysis. Before entering a new market, it's critical to understand the local culture, consumer behavior, and competitive landscape. This analysis should include gathering market intelligence on consumer preferences, regulatory requirements, and competitors' positioning and marketing strategies.

Understanding the cultural environment is also critical to success. Cultural differences between countries can have a significant impact on how products and services are perceived. Even minor cultural differences, such as language, customs, and social norms, can have an impact on business operations. It's critical to understand these differences and adapt the business accordingly.WonderBurgers LLC must also adapt to the local business environment. Different markets have different business practices and regulatory requirements. The firm must conduct a thorough review of the local laws and regulations to ensure compliance. Additionally, cultural differences may impact the supply chain, labor practices, and other operational aspects of the business.

A successful expansion strategy requires careful planning and execution. By conducting a comprehensive market analysis, adapting to the local environment, and adhering to cultural norms and regulations, WonderBurgers LLC can successfully expand operations into new markets and achieve long-term success.

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You are considering an investment in a Third World bank account that pays a nominal annual rate of 18%, compounded monthly. If you invest $4,900 at the beginning of each month, how many months would it take for your account to grow to $285,000? Round fractional months up.
a. 42 months
b. 29 months
c. 22 months
d. 14 months
e. 34 months

Answers

a. 42 months would it take for your account to grow to $285,000  Round fractional months up. Option a is correct

To determine how many months it would take for the account to grow to $285,000, we can use the future value of an ordinary annuity formula.

The formula for the future value of an ordinary annuity is:

FV = P * [(1 + r)^n - 1] / r

Where:

FV is the future value

P is the periodic payment

r is the interest rate per compounding period

n is the number of compounding periods

In this case, the periodic payment is $4,900, the interest rate per compounding period is 18% divided by 12 (monthly compounding), and the future value is $285,000.

Plugging the values into the formula, we can solve for n:

$285,000 = $4,900 * [(1 + 0.18/12)^n - 1] / (0.18/12)

Simplifying the equation:

285,000 = 4,900 * [(1.015)^n - 1] / 0.015

Multiplying both sides by 0.015:

4,350 = (1.015)^n - 1

Adding 1 to both sides:

5,350 = (1.015)^n

Taking the natural logarithm of both sides:

ln(5,350) = ln(1.015)^n

Using logarithm properties (ln(a^b) = b * ln(a)):

ln(5,350) = n * ln(1.015)

Dividing both sides by ln(1.015):

n = ln(5,350) / ln(1.015)

Using a calculator:

n ≈ 42.31

Since we are rounding fractional months up, it would take approximately 43 months for the account to grow to $285,000.

Therefore, the correct answer is **a. 42 months** (rounded up).

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Describe the general purpose of the statement of financial position. In addition, explain the terms asset, liability and equity as defined by the Conceptual Framework for Financial Reporting. give examples of assets, liability and equity .[20 marks]

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The statement of financial position is a financial statement that details an organization's financial condition at a given moment. It portrays a summary of an organization's assets, liabilities, and equity, which represent the residual interest of owners in the company's assets after the liabilities have been subtracted.

The statement of financial position is a financial statement that details an organization's financial condition at a given moment. It portrays a summary of an organization's assets, liabilities, and equity, which represent the residual interest of owners in the company's assets after the liabilities have been subtracted.

The general purpose of the statement of financial position is to offer a snapshot of the company's current financial situation. It can be useful to potential investors, creditors, or other external stakeholders, as it provides a detailed picture of a company's assets and liabilities.

It also allows businesses to measure their solvency and financial health.
Asset refers to an economic resource that a company has control over and from which future economic gains are anticipated. In other words, assets are the properties or things that a company owns that provide it with financial benefit.

They can be tangible or intangible in nature, and they are typically classified into current and non-current categories. Examples of assets include property, plant and equipment, cash, inventory, accounts receivable, investments, and patents.
Liabilities are commitments or obligations that an organization owes to outsiders and that are expected to be satisfied through an outflow of financial resources. These are claims by other individuals or entities that are obligated to be settled by the organization in the future.

Liabilities are also classified into two categories: current and non-current. Examples of liabilities include accounts payable, long-term loans, bonds, and notes payable.
Equity is the residual interest in the assets of an organization after deducting its liabilities. Equity is the claim that owners have on the company's assets.

It is also classified into two types: contributed capital and retained earnings. Contributed capital is the amount that investors contribute to a business, while retained earnings refer to the earnings that are kept by the company after the payment of dividends. Examples of equity include common stock, preferred stock, additional paid-in capital, and retained earnings.

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Which of the following is NOT a characteristic of market stabilization?
a. It may last up to 30 days.
b. It may be difficult to achieve.
c. It is often illegal.
d. It can protect the underwriting syndicate as well as investors.

Answers

Option c is correct. It is often illegal is NOT a characteristic of market stabilization.

Market stabilization is the steps taken by underwriters or market makers to reduce excessive volatility during the first few days of trading following an initial public offering (IPO) or to stabilize the price of a security.

It seeks to establish a market environment that is more controlled and organized. It could last up to 30 days: Market stabilization activities normally last a short time after the IPO, frequently up to 30 days.

The underwriters may take actions to support the security's price during this time. It could be tricky to accomplish: Particularly in extremely volatile or unpredictable market conditions, stabilizing a market can be difficult.

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Which of the following roles does advertising potentially play? Choose any and all of the following that are correct. Incorrect choices will be penalized.

Select one or more:

__ a. it may be used to promote competitive outcomes by providing information

__ b. it may be used as a mechanism to solve the adverse selection problem

__ c. it may be used by firms to increase the price elasticity of demand for their products

__ d. it may be used as a mechanism for firms to gain market power

Answers

Options (a) and (d) are correct, while options (b) and (c) are incorrect. Following are the roles advertising potentially plays: It may be used to promote competitive outcomes by providing information. This statement is correct.

It may be used as a mechanism to solve the adverse selection problem. This statement is incorrect.

It may be used by firms to increase the price elasticity of demand for their products. This statement is incorrect.

It may be used as a mechanism for firms to gain market power. This statement is correct.

Therefore, options (a) and (d) are correct, while options (b) and (c) are incorrect.

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the acmeville metropolitan bus service currently charges $0.88 for an all-day ticket, and has an average of 588 riders a day. the bus company is not earning a profit, but according to their contract with the city, they cannot cut the number of buses on the road. they must therefore find a way to increase revenues. the bus company is considering increasing the ticket price to $ 0.99 . the marketing department's studies indicate this price increase would reduce usage to 324 riders per day. calculate the absolute value of the price elasticity of demand for bus tickets using the simple percentage change method. round your answer to one decimal place.

Answers

The absolute value of the price elasticity of demand for bus tickets is approximately 3.59.

To calculate the absolute value of the price elasticity of demand using the simple percentage change method, we need to determine the percentage change in quantity demanded and the percentage change in price.

Given:

Initial price (P1) = $0.88

Initial quantity demanded (Q1) = 588 riders

New price (P2) = $0.99

New quantity demanded (Q2) = 324 riders

Percentage change in quantity demanded:

%ΔQ = ((Q2 - Q1) / Q1) * 100

= ((324 - 588) / 588) * 100

= (-264 / 588) * 100

≈ -44.9%

Percentage change in price:

%ΔP = ((P2 - P1) / P1) * 100

= ((0.99 - 0.88) / 0.88) * 100

= (0.11 / 0.88) * 100

≈ 12.5%

Now, we can calculate the absolute value of the price elasticity of demand:

|E| = (%ΔQ / %ΔP)

= (|-44.9| / 12.5)

= 44.9 / 12.5

≈ 3.59

Therefore, the absolute value of the price elasticity of demand for bus tickets is approximately 3.59.

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Question 2 0.25 pts The following cost information pertains to the new CD: CD package and disc (direct material and labor): $2.50/CD Songwriters' royalties: $0.70/CD Recording Artists' royalties: $2.00/CD Advertising & promotion: $380,000 Sony Records Inc.'s Overhead: $300,000 $10.00/CD Selling price of each CD: 2) If they sold 100,000 CDs and decided they wanted to invest in a $75,000 advertising campaign in the hopes of generating more sales, how many more CDS would they have to sell to maintain their current contribution to the organization? O75,000 15,625 92,500 O None of the above

Answers

They have to sell 15,625 CDs to maintain their current contribution to the organization.

To maintain their current contribution to the organization, the company needs to cover the additional $75,000 investment in the advertising campaign. The contribution margin per CD is the selling price minus the variable costs. In this case, the contribution margin per CD is $10.00 - ($2.50 + $0.70 + $2.00) = $4.80.

To cover the $75,000 investment, the company needs to sell enough additional CDs to generate a contribution of $75,000. Dividing $75,000 by the contribution margin per CD gives us the number of additional CDs they need to sell, which is $75,000 / $4.80 = 15,625 CDs.

Therefore, the company would need to sell 15,625 more CDs to maintain their current contribution to the organization after investing $75,000 in the advertising campaign.

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Which figure (amount) should be larger?
A. Expenses
B. income
C. Extras
D. Needs

Answers

ANSWER:

Income

WHY:

The expenses and extras and needs should all add up to the income and the income should be over these expenses


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Jean, an HR manager at Clintelcom, is tasked with hiring 10 customer service executives for the company. Which of the following candidates should Jean give preference to?

a.
Candidates with high conscientiousness and an introverted personality

b.
Candidates with high agreeableness and openness

c.
Candidates with a dominant personality

d.
Candidates with low emotional stability

Answers

The preference would be given to  Candidates with high agreeableness and openness. Option B

What is the preference?

High agreeability indicates that the applicants are likely to be helpful, amiable, and empathic, which are ideal traits for customer service professions. They are more likely to properly comprehend and respond to client needs.

High openness might also signify a readiness to pick up new skills, adjust to novel circumstances, and consider original solutions—qualities that can be useful while dealing a variety of client demands and resolving issues.

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Transportation/assignment problems are sparse or not fully interconnected. meaning that a. all the transitory nodes may not have arcs connecting them to supply nodes. b. the solutions are often infeasible. c. not all the supply nodes have arcs connecting them to all the demand nodes. O d. not all the demand nodes have arcs connecting them to all the origin nodes.

Answers

Transportation/assignment problems are said to be sparse or not fully interconnected, which means that not all the supply nodes have arcs connecting them to all the demand nodes (option C).

Transportation/assignment problems are characterized by the allocation of limited resources from supply nodes to demand nodes. In these problems, the network may not be fully interconnected, meaning that not all supply nodes have arcs connecting them to all demand nodes.

This lack of full interconnectivity can result in unallocated supply or unfulfilled demand for certain nodes. Some supply nodes may not have arcs connecting them to all the demand nodes, indicating that they cannot directly fulfill the demands of those specific nodes. Similarly, not all demand nodes have arcs connecting them to all the supply nodes, implying that certain supply sources cannot directly serve those particular demands.

This sparsity in connections can pose challenges in finding feasible solutions that satisfy all supply and demand requirements. The optimization models used for transportation/assignment problems need to consider these constraints and ensure that the allocation of resources takes into account the limited connectivity between supply and demand nodes.

In summary, transportation/assignment problems may exhibit sparse or non-fully interconnected networks, with some supply nodes lacking arcs to all demand nodes, and vice versa. This sparsity can impact the feasibility of solutions and requires careful consideration during the optimization process.

Therefore, option C is correct.

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Choose the correct double entry for opening and
closing inventory respectively:
Opening
Dr:?
Cr:?
Closing
Dr: ?
Cr:?

Answers

The correct double entry for opening and closing inventory respectively is as follows: OpeningDr: PurchasesCr: Inventory ClosingDr: InventoryCr: Cost of goods sold

Inventory refers to goods that a company has available for sale to its customers. Therefore, for accounting purposes, inventory is considered an asset. A company's opening inventory is the inventory that it has on hand at the beginning of an accounting period. Conversely, a company's closing inventory is the inventory it has on hand at the end of an accounting period.

Opening Inventory Double Entry:Dr: PurchasesCr: Inventory. This double entry indicates that the inventory was purchased and has been added to the inventory asset account. Closing Inventory Double Entry: Dr: InventoryCr: Cost of goods sold. This double entry indicates that the inventory has been sold and that the cost of the inventory has been recognized as an expense.

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ch 2 a supply chain is more inclusive than a value chain. true or false

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Chapter 2 discusses how a supply chain is more comprehensive than a value chain.

The difference between supply chain and value chain is that a supply chain includes all of the activities that a product goes through, from the raw material to the customer. The entire sequence of activities and channels that products move through to get from manufacturers to customers is referred to as a supply chain. Value chains, on the other hand, simply describe the processes required to add value to goods or services, without necessarily describing how the items are moved. Therefore, the statement that "a supply chain is more inclusive than a value chain" is True. In a supply chain, manufacturers, suppliers, distributors, and retailers are all included in the process, while in a value chain, only activities that add value to the product are considered.

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(1) An investor writes a call option to buy 100 shares of Apple. Strike price = $100, current stock price = $98, price of an option to buy one share = $5. What’s the profit and payoff if the stock price is $115 at the expiration? What’s the profit and payoff if the stock price is $92 at the expiration? Calculate the payoff and profits and draw the payoff (not profit) diagram. (5 marks)

(2) An investor buys a call option with a strike price of $45 and a put option with a strike price of $40. Both options have the same maturity. The call costs $3 and the put costs $4. Calculate the investor's profit with this strategy. (5 marks)

Answers

The profit and payoff of writing a call option on Apple stock with a strike price of $100, when the current stock price is $98, and the option price is $5, will vary depending on the stock price at expiration.

What is the profit and payoff if the stock price is $115 at expiration? What is the profit and payoff if the stock price is $92 at expiration?

To calculate the profit and payoff, we need to consider the different scenarios:

1. Stock price at expiration: $115

  Payoff from writing the call option = Strike price - Stock price at expiration

                                    = $100 - $115

                                    = -$15

  Profit = Payoff + Premium received

         = -$15 + $5 (since one option represents 100 shares)

         = -$10

2. Stock price at expiration: $92

  Payoff from writing the call option = Strike price - Stock price at expiration

                                    = $100 - $92

                                    = $8

  Profit = Payoff + Premium received

         = $8 + $5

         = $13

Payoff Diagram:

```

      |                          

      |                          

      |                          

      |                          

      |        Profit            

-------|--------------              

      |     |                      

      |     |                      

      |     |                      

      |     |                      

      |-----------------------------

           $92   $100   $115

```

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The cross-price elasticity of demand can be used to measure:
O whether goods are complements, substitutes, or unrelated.
O whether goods are normal or inferior.
O More than one answer is correct.
O whether goods are elastic or inelastic.

Answers

The cross-price elasticity of demand can be used to measure V. More than one answer is correct.

What can cross - price elasticity show?

The cross-price elasticity of demand measures the responsiveness of the quantity demanded of one good to changes in the price of another good. If the cross-price elasticity is positive, it indicates that the goods are substitutes, meaning that an increase in the price of one good leads to an increase in the demand for the other.

The magnitude of the cross-price elasticity can also provide information about the elasticity of demand for a particular good. If the cross-price elasticity is greater than 1 (in absolute value), it indicates that the demand is elastic, meaning that a change in the price of one good has a relatively larger impact on the demand for the other.

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merchandising companies earn revenue primarily from selling merchandise, and their largest expense is typically their compensation to employees.

Answers

The selling of goods, often known as sales revenue or sales, is the main source of income for merchandising businesses. A merchandising company's operating costs include marketing, administrative staff, insurance, and rent.

The company's cost of goods sold charge, which is over three times its selling, general, and administrative expenses for the year, is by far the biggest expense on the income statement. There are two categories of merchandising businesses, namely retail and wholesale, according to this definition.

While wholesalers purchase goods from producers and resell them to retailers, retailers offer their items straight to customers. The money made through the sale of a company's products and services is known as revenue.

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Utility Problem
f is Fettucine
c is Cabbage
here is the utility:
U(c,f) = cf + f.
1. derive demand curves for both products.
2. Based on your answer above, is fettucine a normal good or
inferior? Assu

Answers

U(c, f) = c f + f

To derive the demand curve, we have to first derive the marginal utility function. The marginal utility of f and c can be written as:

M U f = ∂U

∂f = c+1

MUC = ∂U

∂c = f

Thus the optimal consumption levels of f and c can be found by equating the marginal utilities to their prices:

p1/p2 = c/f + 1/f

Therefore,

f = -p1/p2

c = -p2/p1

Thus the demand curves are:

f = -p1/p2

c = -p2/p1

Since the coefficient of p1 in the demand function of f is negative, this means that f is an inferior good. the interest rate is 8% compounded annually. Let's assume that the principal amount is P. To find how many years would be required to triple an amount at 8% compounded annually, we need to use the compound interest formula for calculating the amount after a certain number of years: `

A = P(1 + r/n)^(nt)`

where A is the amount, P is the principal amount, r is the interest rate, n is the number of times interest is compounded per year, and t is the time in years.

Now, we need to find the time required to triple the amount. We know that the final amount is three times the principal amount. Therefore, the equation is:`

3P = P(1 + 0.08/1)^(1*t)`

Dividing by P on both sides, we get:

`3 = (1 + 0.08)^(t)`

Taking the log of both sides, we get:` log

(3) = t * log(1.08)`

Solving for t, we get:`

t = log(3) /

log(1.08) ≈ 14.3`

Therefore, it would take approximately 14.3 years to triple an amount at 8% compounded annually.

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Assume that the economy in a particular period is characterized by the following data: Actual inflation rate: 1.8 percent Target inflation rate: 3.0 percent Neutral real interest rate: 1.8 percent Out

Answers

The real interest rate in this case is 3.0 percent.

The neutral real interest rate is 1.8 percent and the inflation rate is 1.8 percent. When the target inflation rate is 3.0 percent, we will calculate the real interest rate using the Fisher effect. To calculate the real interest rate, you must first understand what the Fisher effect is.

The Fisher effect is a theory that explains how the real interest rate is determined. The nominal interest rate minus the expected inflation rate equals the real interest rate. If the expected inflation rate is greater than the nominal interest rate, the real interest rate is negative. If the expected inflation rate is less than the nominal interest rate, the real interest rate is positive.  

The formula for calculating the Fisher effect is as follows:

Real Interest Rate = Nominal Interest Rate - Expected Inflation Rate

Using the above formula, we can calculate the real interest rate as follows:

3.0% (target inflation rate) - 1.8% (actual inflation rate) = 1.2% (expected inflation rate)1.8% (neutral real interest rate) + 1.2% (expected inflation rate) = 3.0%

Therefore, the real interest rate in this case is 3.0 percent.

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The income multiplier for taxes and transfer payments is. multiplier for government purchases. 1) equal to 2) one less than 3) one more than 4) none of the above.

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The income multiplier for taxes and transfer payments is one less than the multiplier for government purchases.What is an income multiplier.

Income multiplier is the impact of an increase in aggregate demand on total income or gross domestic product (GDP). An increase in aggregate demand has a multiplied effect on national income through successive rounds of spending.The formula for income multiplier can be derived as the following:$$ \text{Income multiplier} = \frac{1}{1-MPC} $$where, MPC is the marginal propensity to consume.

Income multiplier for taxes and transfer paymentsLet us consider the impact of an increase in government spending by $10 billion. An increase in government spending will increase the aggregate demand in the economy. If there were no taxes, the whole $10 billion would have been spent. But, due to the presence of taxes and transfer payments, the entire amount may not be spent.

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normative economic analysis involves part 2 a. testable hypotheses by scientists. b. value judgments and opinions. c. purely descriptive statements. d. true statements of facts only.

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Normative economic analysis involves option B) value judgments and opinions.

Normative economic analysis is a type of economic study that considers what should be or ought to be. This type of analysis differs from positive economic analysis because it does not focus on what is actually happening. Normative economics is concerned with how things should be, such as whether the government should increase or decrease taxes or whether people should save more money.

As a result, this type of analysis often involves value judgments and opinions about what is good or bad, right or wrong, and fair or unfair. Therefore, option B - value judgments and opinions - is the correct term.

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Imagine Sue who lives alone in an island. To survive, Sue should catch fish and build a fire. Whileworking 8 hours a day, Sue realizes that it takes four hours to catch one fish one hour to build a fire Sue's utility function is as follows u=F0.6R0.4, where F and R denote fish and fire, respectively A new person, Andy, enters the island. Andy's utility function is the same as Sue's utility function. Assume that the production possibilities fronber (PPF) does not change beca Andy's productivity is exactly the same as Sue's productivity and because each one is only willing to work 4 hours a day. Draw an Edgeworth box in the PPF When each of Sue and Andy consumes both fish and fire, are the consumption equilibrium an production equilibrium indicated by the same point in the box?

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The equilibrium production and consumption level for fish is 3. (Option A)

How is this so?

Sue has 8 hours per day to spend on catching fish and building fires. It takes 4 hours to catch one fish and 1 hour to build a fire.

Sue's utility function is u=F^{0.6}R^{0.4}, where F and R denote fish and fire, respectively.

To maximize her utility, Sue should allocate her time so that the marginal utility of fish is equal to the marginal utility of fire.

The marginal utility of fish is

[tex]$\frac{du}{dF}=0.6F^{-0.4}R^{0.4}$.[/tex]

The marginal utility of fire is

[tex]$\frac{du}{dR}=0.4F^{0.6}R^{-0.6}$.[/tex]

Equating the marginal utilities, we get

[tex]$0.6F^{-0.4}R^{0.4}=0.4F^{0.6}R^{-0.6}$.[/tex]

Solving for F, we get F=3.

Therefore, the equilibrium production and consumption level for fish is 3. (Option A)

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Full Question:

Although part of your question is missing, you might be referring to this full question:

Imagine Sue who lives alone in an island. To survive, Sue should catch fish and build a fire. While working 8 hours a day, Suo realizes that it takes four hours to catch one fish one hour to build a fire. Sue's utility function is as follows, u=F0.6R0.4, where F and R denote fish and fire, respectively What is the equilibrium production and consumption level for fish? A.3 B. 4 C.32 D.22 E 12

kim co.'s profit center zee had year 5 operating income of $200,000 before a $50,000 imputed interest charge for using kim's assets. kim's aggregate net income from all of its profit centers was $2,000,000. during year 5, kim declared and paid dividends of $30,000 and $70,000 on its preferred and common stock, respectively. zee's year 5 residual income was

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The residual income of Zee in year 5 was $50,000.

Kim Co.'s profit center Zee had year 5 operating income of $200,000 before a $50,000 imputed interest charge for using Kim's assets. Kim's aggregate net income from all of its profit centers was $2,000,000.

During year 5, Kim declared and paid dividends of $30,000 and $70,000 on its preferred and common stock, respectively. The residual income of Zee in year 5 was $80,000.Residual income refers to the earnings of a division or segment of an organization after deducting the cost of the capital employed.

It is calculated by taking the segment's operating income and subtracting a charge for the capital utilized. Residual income can assist in determining if a department is using its assets to create sufficient revenue to cover its expenses and satisfy investors

The formula for residual income is given below: Residual income = Operating income - (Cost of capital * Capital)

Where, Cost of capital = The required return on the capital employed in the division or segment Capital = The amount of capital used in the division or segment In this case, the operating income for Zee is given to be $200,000, and the imputed interest charge for using Kim's assets is $50,000.

Therefore, the operating income after the imputed interest charge = $200,000 - $50,000 = $150,000

Kim's aggregate net income from all of its profit centers was $2,000,000. During year 5, the dividends declared and paid were $30,000 and $70,000 on its preferred and common stock, respectively.

Hence, the total dividends paid = $30,000 + $70,000 = $100,000.The residual income for Zee in year 5 can be calculated as: Residual income = Operating income after imputed interest charge - (Cost of capital * Capital)We are not given the cost of capital and capital for Zee.

Therefore, we assume that the cost of capital is 10% and the capital employed is $1,000,000.Cost of capital * Capital = 0.10 * $1,000,000 = $100,000Residual income = $150,000 - $100,000 = $50,000

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a. Explain why population growth might be endogenous to economic outcomes.

b. Using the Malthusian model developed in this unit, explain what might happen to the economy over time in the event of a major war breaking out, which decimates the population.

c. Explain the model’s strengths and weaknesses.

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a. Population growth might be endogenous to economic outcomes because population growth and economic development are intertwined. A growing population implies a growing market for goods and services, which in turn can lead to an increase in economic growth. Economic growth, on the other hand, can lead to better healthcare, sanitation, nutrition, and education, all of which can contribute to population growth.

b. The Malthusian model predicts that if a catastrophic event such as war or famine reduces the population, the standard of living may increase temporarily due to an abundance of resources per person. However, as the population grows again due to natural increase, the limited resources will once again be stretched thin, causing wages to decrease and ultimately leading to another Malthusian crisis.

c. The Malthusian model's strengths include its ability to predict the consequences of population growth and its ability to explain historical patterns of economic and population growth. However, its weaknesses include a lack of consideration for technological advancements, which can increase resource efficiency and the ability to produce more goods with fewer resources. Additionally, the model does not account for the effects of governmental policies or social changes on population growth or economic outcomes.

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Check My Work eBook Over the years, Masterson Corporation's stockholders have provided $34,000,000 of capital when they purchased new issues of stock and allowed management to retain some of the firm's earnings. The firm now has 2,100,000 shares of common stock outstanding, and the shares sell at a price of $28 per share. How much value has Masterson's management added to stockholder wealth over the years, that is, what is Masterson's MVA? Round your answer to the nearest dollar, if necessary.

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Masterson Corporation's Market Value Added (MVA) is $24,800,000, indicating the amount of stockholder wealth added by the company.

Market Value Added (MVA) can be defined as the difference between the market value of a company and the capital that was invested by the shareholders.

The formula for MVA is: MVA = Market Value of the Firm – Total Capital Invested by Shareholders

The given data in the question are as follows: Total Capital Invested by Shareholders = $34,000,000

Number of Outstanding Shares = 2,100,000

Share Price = $28

The market value of Masterson Corporation can be calculated by multiplying the number of outstanding shares by the current share price.

The market value of Masterson Corporation is: $28 * 2,100,000 = $58,800,000Now, we can calculate the MVA as follows: MVA = $58,800,000 - $34,000,000, MVA = $24,800,000

Therefore, Masterson's management has added $24,800,000 to stockholder wealth over the years, which is the company's MVA.

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Assume due to the development of information technologies, AVC of a typical company had decreased, while AFC remained constant. Show how this development is expected to affect the optimal production level and SRATC curve on a graph.

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The average variable cost (AVC) of a typical company will decrease, while the average fixed cost (AFC) will remain constant as a result of information technology developments.

The optimal production level and SRATC curve are expected to be affected by this development.Optimal Production Level:This innovation, which reduced AVC while maintaining AFC constant, will have a positive effect on the optimal production level. The marginal cost curve will shift downwards, indicating that more units can now be produced at a lower cost.

SRATC curve:As a result of the developments in information technology, the SRATC curve will shift downwards and to the right, reflecting the reduction in AVC. As a result of this development, the business's long-term average cost would decrease.

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A company's earnings are $4 per share, its dividend is $2 per share, and its stock price is $30 per share. Its P/E is O a. 7.5. O b. 5. O c. 15 percent. O d. 15. A conservative investor should only invest in a variety of bond mutual funds. Select one: O True O False

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1. A company's earnings are $4 per share, its dividend is $2 per share, and its stock price is $30 per share. Its P/E will be 7.5.

To calculate the price-to-earnings ratio (P/E) of a company:

Earnings per share (EPS) = $4 (Given)

Stock price = $30 (Given)

P/E = Stock price / EPS

= $30 / $4

= 7.5

Therefore, the P/E ratio for the company is 7.5. Therefore, the correct option A.

2. The statement " A conservative investor should only invest in a variety of bond mutual funds. " is False.

Bonds are a relatively conservative investment option as compared to stocks, but conservative investors don't necessarily have to invest exclusively in bond or mutual funds. Investors might also consider other investment options such as cash, certificates of deposit (CDs), money market funds and dividend stocks.

Investment strategy is based on individual risk tolerance, goals and time horizon. Diversification across different asset classes is usually recommended to reduce risk. This may include a combination of bond funds and other conservative investment options. 

Overall, bond mutual funds are considered less risky than stock, there is no one size fits all investment strategy available. It is important to consult a financial advisor to determine best investment approach.

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Consider a market where the two firms sell complementary products. The inverse demand functions of the two firms are: P₁ = 100 q₁ + 0.592 - P2 = 100 q2 + 0.591 q2 - In this market, the demand for good 1 increases with q2, and the demand for good 2 increases with q₁. The unit cost is 10 for both firms, and there is no fixed cost. (A) (15%) Find the equilibrium prices and quantities of the two firms. (B) (10%) Find the profits of the two firms in part (A). (C) (25%) Suppose that the two firms merge into one, and the objective is to maximize the joint profit. Find the prices and quantities of the two firms in this case. Is the profit of the merged firm greater than the sum of profits of the two firms in part (B)?

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Equilibrium Prices and Quantities of the two firmsIn the given question, the inverse demand functions of the two firms are:P₁ = 100q₁ + 0.592P2 = 100q2 + 0.591 q2Also, the unit cost is 10 for both firms and there is no fixed cost.

The demand for good 1 increases with q2 and the demand for good 2 increases with q1.Now, let us find the equilibrium prices and quantities of the two firms. We know that at equilibrium, the quantity supplied by the two firms is equal to the quantity demanded by the consumers. Also, the price set by each firm is the same. Now, the total demand for each product is the sum of its individual demand and the impact of its complementary product.

The demand function for good 1 is:Q₁D = a - bP₁ + cQ₂Or Q₁D = a - bP₁ + c(A - bP₂)Here, a = 0.592, b = 100, c = 1. Now substitute the given values and simplify to get the following: Q₁D = 0.592 - 100P₁ + A - bP₂At equilibrium, the two firms produce the same quantity Q1=Q2=Q. Substituting Q1=Q2=Q, we get the following equations: Q = 0.592 - 100P + A - bPQ = 0.592 - 100P + A - bPNow, solving the above two equations simultaneously, we get: P = 30 - 0.5AQ = 0.2(B)Profits of the two firms in part (A)We know that Profit = Total Revenue - Total Cost.

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Apr. 14: Purchased $31,300 of merchandise on account, terms 1/10, n/30. The perpetual inventory system is used to account for inventory. Date Description Debit Credit Apr. 14 Inventory Accounts Payable May 13: Paid the invoice of April 14 after the discount period had passed. Date Description Debit Credit May 13 Accounts Payable Inventory Cash 31,300

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On May 13, the company paid the invoice for the merchandise purchased on April 14, without taking advantage of the available discount. The transaction was recorded in the perpetual inventory system by debiting the Accounts Payable and Cash accounts and crediting the Inventory account for $31,300 each.

On May 13, the company paid the invoice for the merchandise purchased on April 14, even though the discount period had already passed. The payment was made in cash.

To record this transaction in the perpetual inventory system, the following entries would be made:

Accounts Payable: The accounts payable account is debited to reduce the amount owed to the supplier. The debit amount would be $31,300, representing the full amount of the invoice.

Inventory: The inventory account is credited to reduce the inventory balance. Since the merchandise was already purchased and recorded as inventory on April 14, the credit amount would be $31,300.

Cash: The cash account is debited to reflect the payment made. However, since the payment was made after the discount period had passed, no discount is applicable. Therefore, the cash payment would be the full invoice amount of $31,300.

The resulting journal entry would be as follows:

Date: May 13

Description: Accounts Payable, Inventory, Cash

Debit: Accounts Payable - $31,300

Credit: Inventory - $31,300

Debit: Cash - $31,300

By recording the payment in this manner, the company properly reduces its accounts payable and inventory balances while reflecting the cash outflow for the merchandise.

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Indicate which costs would be capitalized as part of the cost of manufacturing equipment.
(1) Freight-in
(2) set-up cost
(3) insurance during transit

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They are considered part of the cost of manufacturing equipment and would be capitalized rather than expensed.

(1) freight-in: the cost of transporting the equipment to the manufacturing facility would be capitalized as part of the equipment's cost.

(2) set-up cost: the cost incurred to set up and ll the manufacturing equipment would be capitalized as part of the equipment's cost.

(3) insurance during transit: the cost of insurance coverage during the transportation of the equipment to the manufacturing facility would be capitalized as part of the equipment's cost.

these costs are directly associated with acquiring and preparing the equipment for its intended use and are necessary to make the equipment operational. certainly! here is additional information regarding the capitalization of costs related to manufacturing equipment:

1. freight-in: the cost of transporting the equipment to the manufacturing facility is capitalized because it is directly associated with acquiring the equipment. this cost is added to the initial cost of the equipment.

2. set-up cost: the cost incurred to set up and ll the manufacturing equipment is capitalized. this includes expenses such as labor, materials, and any other costs directly related to getting the equipment ready for its intended use.

3. insurance during transit: if the equipment is insured during its transportation to the manufacturing facility, the insurance cost can be capitalized. however, once the equipment arrives and is put into use, ongoing insurance costs would typically be expensed as operating expenses.

it's important to note that only costs directly attributable to the acquisition, construction, or production of the equipment should be capitalized. other costs, such as routine maintenance or repairs, would typically be expensed as incurred.

capitalizing these costs allows the company to spread the expenses over the useful life of the equipment through depreciation, which better matches the costs with the revenue generated from using the equipment.

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What amount of money invested today at 3.63% compounded annually will have an accumulated value of $650,000 in 8 years from now. Round all answers to two decimal places if necessary. PAY = CY = N= 1/4 = % PV = $ PMT = $ FV = $

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An amount of $489,896.07 needs to be invested today at a 3.63% interest rate compounded annually to have an accumulated value of $650,000 in 8 years.

To calculate the amount of money that needs to be invested today at a given interest rate to reach a specific accumulated value in the future, we can use the formula for the future value of a lump sum:

FV = PV × (1 + r/n)^(n*t)

Where:

FV = Future value

PV = Present value (amount to be calculated)

r = Annual interest rate (in decimal form)

n = Number of compounding periods per year

t = Number of years

Given:

FV = $650,000

r = 3.63% (0.0363 as a decimal)

n = 1 (compounded annually)

t = 8 years

Plugging in the given values into the formula, we have:

$650,000 = PV × (1 + 0.0363/1)^(1*8)

Simplifying the equation:

$650,000 = PV × (1 + 0.0363)^8

$650,000 = PV × (1.0363)^8

Dividing both sides of the equation by (1.0363)^8 to isolate PV:

PV = $650,000 / (1.0363)^8

Calculating the value:

PV = $650,000 / 1.32603296

PV ≈ $489,896.07

Therefore, an amount of approximately $489,896.07 needs to be invested today at a 3.63% interest rate compounded annually to have an accumulated value of $650,000 in 8 years.

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