ilk incorporated's contribution margin ratio is 62% and its fixed monthly expenses are $46,500. assuming that the fixed monthly expenses do not change, what is the best estimate of the company's net operating income in a month when sales are $135,000?

Answers

Answer 1

The most accurate projection of the company's net operating profit for a month with $135,000 in sales is $37,200

Define Profit.

Economic theory states that profit is the excess over the typical return on investment. Profits are what are left over after the opportunity cost of making the product is subtracted from the overall income. As a result, even if a business does not make any money, its return is still respectable or competitive.

The computation of the best estimate of the company net operating income:

Profit = (Contribution margin ratio × Sales) - Fixed monthly Expenses

         = (0.62 × $135,000) - $46,500

         = $83,700 - $46,500

         = $37,200

The most accurate projection of the company's net operating profit for a month with $135,000 in sales is $37,200

To know more about Profit, visit:

https://brainly.com/question/15036999

#SPJ4


Related Questions

assume that wheat is produced in a purely competitive market. in the short run the demand for wheat increases and wheat producers earn economic profits. in the long run how will this change in economic circumstance affect the price of wheat and the economic profits of wheat growers? price economic profits a. decrease decrease b. decrease increase c. increase decrease d. increase increase group of answer choices decrease decrease decrease increase increase decrease increase increase

Answers

In the long run, price of the wheat will decrease, while the economic profits of wheat growers will also decrease. Thus, Option (a) is correct.

In a purely competitive market, when the demand for wheat increases in the short run, wheat producers can charge a higher price for their products due to the increased demand.

As a result, they earn economic profits. However, in the long run, the industry is open to new firms to enter due to the absence of barriers to entry.

With the potential for new entrants, the number of wheat producers will increase, leading to a higher supply of wheat in the market. As supply outstrips demand, the price of wheat will decrease. This decrease in price will eventually eliminate the economic profits earned by wheat growers.

Thus, Option (a) accurately reflects the change in economic circumstances.

Learn more about the price here:

https://brainly.com/question/33524842

#SPJ12

Which of the following is not a common way that managers use the balance sheet?

To analyze the balances of assets, liabilities, and stockholders’ equity throughout the accounting period

To analyze the balance between debt and common stock financing

To analyze the balance of accounts receivable on the last day of the accounting period

To determine if the cash balance is sufficient for future needs

Answers

To analyze the balances of assets, liabilities, and stockholders’ equity throughout the accounting period is not a common way that managers use the balance sheet.

What is a balance sheet?

A financial statement that lists a company's assets, liabilities, and shareholder equity at a certain point in time is referred to as a balance sheet. The basis for calculating investor return rates and assessing the capital structure of a company is provided by balance sheets.

A company's balance sheet gives a quick overview of its financial situation at any one time. On its alone, it cannot provide an understanding of the tendencies manifesting over a longer time frame. Due to this, the balance sheet and those from earlier periods should be compared.

The balance sheet follows the accounting formula below, where assets are on one side and liabilities + shareholder equity are on the other.

Know more about balance sheet click here:

https://brainly.com/question/26323001

#SPJ4

question content area on the statement of cash flows, the cash flows from investing activities section would include a.payments for dividends b.receipts from the issuance of common stock c.receipts from the sale of investments d.payments for retirement of bonds payable

Answers

The cash flows from investing activities section would include payments for retirement of bonds payable.

Option D) is the correct option.

When they need to raise money, governments and businesses both issue bonds. When you purchase a bond, you are actually lending the issuer money. In exchange, they agree to make regular interest payments (often twice a year) for the duration of the repayment period and to pay you the entire loan balance on a set date.

The term cash flow refers to the net amount of cash and cash equivalents being transferred in and out of a company. Cash received represents inflows, while money spent represents outflows.

A company’s ability to create value for shareholders is fundamentally determined by its ability to generate positive cash flows or, more specifically, to maximize long-term free cash flow (FCF). FCF is the cash generated by a company from its normal business operations after subtracting any money spent on capital expenditures (CapEx).

To learn more about Cash Flows visit:

https://brainly.com/question/30012340

#SPJ4

The process improvement technique that sorts the vital few from the trivial many is:
Select one:
a. benchmarking.
b. Taguchi analysis.
c. Yamaguchi analysis.
d. Deming analysis.
e. Pareto analysis.

Answers

Pareto analysis is a process optimization method that separates the important individuals from the unimportant many.

Why is improvement important?

Put simply, continuous improvement is crucial since it's the best approach to guarantee that we're carrying out every task we're engaged on in the most effective, efficient, and productive manner possible on a daily basis.

What is a good sentence for improvement?

The remarkable improvement in her health caught doctors caught guard. That since spring, I've seen a noticeable improvement in your work. Before the article was published, the editor suggested a few edits. Kitchen renovation cabinets and other house upgrades were purchased with the money.

To know more about improvement visit:

brainly.com/question/28105610

#SPJ4

the inventory of royal decking consisted of five products. information about ending inventory is as follows: per unit product cost selling price a $ 40 $ 60 b 80 100 c 40 80 d 100 130 e 20 30 costs to sell consist of a sales commission equal to 10% of selling price and shipping costs equal to 5% of cost. required: what unit value should royal decking use for each of its products when applying the lower of cost or net realizable value (lcnrv) rule to units of ending inventory?

Answers

Royal decking unit value should use for each of its products when applying the lower of cost or net realizable value (LCNRV) rule to units of ending inventory is $256000.

Royal Decking

A) Per unit value for each of Royal Decking's products, applying LCNRV:

Product   Cost   Sales Price   NRV                          LCNRV

A              $40      $60           $44 ($60 - 12 - 4)      $40

B                80       100           $72 ($100 - 20 - 8)    $72

C                40        80           $60 ($80 - 16 - 4)       $40

D               100      130           $84 ($130 - 26 - 10)   $84

E                 20       30           $22 ($30 - 6 - 2)       $20


Total Inventory on the balance sheet is:

$256,000

a) Data and Calculations:

Ending Inventory on December 31, 2021:

Product   Cost   Sales Price   NRV                          LCNRV  Inventory value

A              $40      $60           $44 ($60 - 12 - 4)      $40          $40,000

B                80       100           $72 ($100 - 20 - 8)    $72          $72,000  

C                40        80           $60 ($80 - 16 - 4)       $40          $40,000

D               100      130           $84 ($130 - 26 - 10)   $84           $84,000

E                 20       30           $22 ($30 - 6 - 2)       $20          $20,000

Total inventory value                                           $256       $256,000

= ($256 * 1,000)

Selling costs = 20% of selling price

Shipping costs = 10% of cost

For more information on lower of cost or net realizable value visit:
https://brainly.com/question/29489782
#SPJ4

The difference between sales price per unit and variable cost per unit is the: Multiple Choice- Contribution margin per unit. Gross margin per unit. Gross profit from sales. Fixed cost per unit. Margin of safety per unit.

Answers

The selling price per unit less the variable cost per unit is the contribution margin. The metric, also known as dollar contribution per unit, shows how a specific product affects the company's overall earnings.

The selling price per unit less the variable cost per unit is the contribution margin (CM), also known as dollar contribution per unit. The amount of sales revenue known as "Contribution" is the portion that is utilized to cover fixed costs as opposed to variable costs. One of the fundamental principles of break-even analysis is this idea. Sales are divided from contributions and variable costs. Linear volumetric costs are used in the Cost-Volume-Profit Analysis model. The contribution margin, or marginal profit per unit sold, is a helpful indication for carrying out various computations and can be used as a barometer of operating leverage in cost-volume-profit analysis, a sort of management accounting. In the labor-intensive service sector, low contribution margins are typical, whereas high contribution margins are evident in the  industrial sector.

Learn more about contribution margin from

brainly.com/question/24039258

#SPJ4

a brand inventory that identifies an individual's behavioral patterns in terms of steadiness, influence, dominance, and conscientiousness is called . multiple choice question.

Answers

The DiSC assessment tool is a brand inventory that pinpoints a person's behavioural tendencies in terms of constancy, influence, dominance, and conscientiousness.

A personal assessment tool called DiSC is used by more than a million people each year to improve collaboration, communication, and output at work.

DiSC stands for the four fundamental personality characteristics mentioned in the DiSC paradigm: dominance, influence, stability, and conscientiousness.

D personalities are often self-assured and place a strong emphasis on bottom-line outcomes.

I personalities are more outgoing and place a strong emphasis on making friends as well as persuading or influencing others.

People with S personalities are dependable and respect honesty and cooperation.

Excellence, accuracy, competence, and skill are typically given top priority by people with C personalities.

Learn more about DiSC assessment tool from here:

https://brainly.com/question/29438149

#SPJ4

what is an alternative approach that some nations use to circumvent the disadvantages associated with flexible exchange rates?

Answers

They fix or peg their exchange rates to the value of another currency.

Foreign money[a] is a standardization of cash in any shape, in use, or stream as a medium of alternate, for instance, banknotes and cash. A more widespread definition is that a currency is a gadget of cash in commonplace use inside particular surroundings over time, specifically for humans in a country nation. underneath this definition, the British Pound Sterling (£), euros (€), jap yen (¥), and U.S. dollars (US$)) are examples of (government-issued) fiat currencies.

Currencies might also act as shops of fee and be traded among international locations in forex markets, which determine the relative values of the exceptional currencies. Currencies in this feel are both chosen through customers or decreed by governments, and every type has restricted obstacles of attractiveness - i.e., prison smooth laws might also require a particular unit of account for bills to government businesses.

Definitions of the term "forex" seem inside the respective synonymous articles: banknote, coin, and money. this text makes use of the definition which makes a specialty of the currency systems of countries.

To learn more about currency visit here:

brainly.com/question/14372075

#SPJ4

situational software co. (ssc) is trying to establish its optimal capital structure. its current capital structure consists of 40% debt and 60% equity; however, the ceo believes that the firm should use more debt. the risk-free rate, rrf, is 3%; the market risk premium, rpm, is 7%; and the firm's tax rate is 40%. currently, ssc's cost of equity is 14%, which is determined by the capm. what would be ssc's estimated cost of equity if it changed its capital structure to 50% debt and 50% equity? do not round intermediate calculations. round your answer to two decimal places.

Answers

Its capital structure now consists of 75% equity and 25% debt, but the CEO thinks the company should use more liabilities.

A capital structure is which of the following?

A company's capital structure is the combination all financial instruments it utilizes to raise money for its capital structure now consists of 75% equity and 25% debt, but the CEO thinks the company should use more liabilities.

A capital structure is which of the following?

A company's capital structure is the combination all financial instruments it utilizes to raise money for its operations, including share capital, preferred shares, long-term loans, convertible notes, bonds, and retained earnings.

What does a basic capital structure entail?

A capital structure that has no potentially dilutive instruments is said to be simple. These businesses are just required to disclose their basic EPS. Securities such as changeable preferred stock, convertible bonds, stock options, and warrants are instances of potentially dilutive securities., including share capital, preferred shares, long-term loans, convertible notes, bonds, and retained earnings.

To know more about  capital structure visit:

https://brainly.com/question/15041466

#SPJ4

computer stocks currently provide an expected rate of return of 15%. mbi, a large computer company, will pay a year-end dividend of $2 per share. if the stock is selling at $50 per share, what must be the market's expectation of the growth rate of mbi dividends?

Answers

If the stock is selling at $50 per share, 19% must be the market's expectation of the growth rate of MBI dividends.

The annual rate of return is that the proportion amendment within the worth of an investment. For example: If you assume you earn a tenth annual rate of come back, then you're forward that the worth of your investment can increase by 100 percent once a year.

A dividend is that the distribution of a company's earnings to its shareholders and is decided by the company's board of administrators. Dividends are typically distributed quarterly and should be paid out as money or within the variety of reinvestment in extra stock.

To learn more about dividend here

brainly.com/question/29510262

#SPJ4

Which one of the following options is usually an appealing way to try to increase a company's ROE? Issuing additional shares of stock and using the proceeds to retire long-term debt and short-term loans. Taking aggressive actions to boost the company's retained earnings. Not paying a dividend and using all available cash to pay down debt. Repurchasing shares of common stock. Increasing the mpany's annual dividend by

Answers

An appealing way to increase a company's ROE is B. Taking aggressive actions to boost the company's retained earnings.

What is the return on equity (ROE)?

The return on equity is a financial ratio that shows the impact of profits on the company's equity position.

The ratio increases when more profits or earnings are generated.

Issuing more shares, retiring long-term debt, not paying dividends, repurchasing shares, or increasing dividends have not been known to increase a company's return on equity.

Thus, an essential strategy to increase return on equity is Option B.

Learn more about the return on equity at https://brainly.com/question/28148396

#SPJ1

While virtually all time series exhibit a____ random component, not all time series exhibit other components.

Answers

The complete statement is "While virtually all-time series exhibit a random​ component, not all time series exhibit other components. "

What is a virtually all-time series exhibit?

Generally, A time series is a collection of observations of discrete data points that are generated over the course of time by performing several measurements.

For the purposes of a time series, an example would be to compute the total amount of retail sales for each individual month of the year.

This is because the measurement of sales revenue is properly defined and done on a consistent basis at periods that are all the same distance apart. The data known as time series are distinguished from those that are gathered seldom or just once.

A time series observation may be broken down into three distinct components: the trend, which refers to the overall long-term direction; the seasonal, which refers to the systematic, calendar-related movements; and the irregular, which refers to the outliers.

A time series is a collection of data points that have been cataloged chronologically. This concept originates from the field of mathematics.

A time series is often defined as a sequence that was recorded at a number of different moments in time that is uniformly spaced out from one another.

Read more about  virtually all-time series exhibit

https://brainly.com/question/29743783

#SPJ1

Quantitative forecasts use mathematical techniques that are based on:

Group of answer choices Expert opinions

Surveys

Historical data

Sales force knowledge of the market

Answers

Quantitative forecasts use mathematical techniques that are based on Historical data

In a broad sense, historical data is information gathered about past incidents and situations relating to a specific topic.

By definition, historical data encompasses the majority of data produced within an organisation, whether it was done so manually or mechanically. Press releases, log files, financial reports, project and product documentation, emails, and other.

In a company setting, crucial strategic decisions concerning the present and future are made using historical data. Managers analyze historical data to chart the evolution of organizational performance, pinpoint areas for development, and forecast future trends.

Businesses are gathering more data than ever and frequently retaining it for longer periods of time, both for internal use and to meet regulatory needs.

To know more about Historical data:

https://brainly.com/question/29306461

#SPJ4

althea and jaime are in the process of creating a plan for their new retail store so that they can make the best use of their resources. they are meeting today to go over their ideas for the products they will sell, how they will price them, and how they will promote their new store. they are also attempting to profile the customers they will target so that they can better understand what products will appeal to them. althea and jaime are creating a

Answers

Based on the information given in the question above, it seems like Althea and Jaime are creating a marketing strategy for their new retail store.

Marketing strategy is the game plan that a business has to reach its target customers. A good marketing strategy would increase sales rates, making the business achieve a competitive advantage in the market. It also helps the business to spend its budget effectively, on customers that have the most impact in the market.

There are various things involved in making a marketing strategy. The common techniques are usually as follows:

Identify the business goal and target.Learn to know your clients.Create your message for potential clients.Define your budget.Measure your success.

Learn more about marketing strategy at https://brainly.com/question/25640993

#SPJ4

friends shawna, dell, and roberta purchase a home together. because they want to ensure that no one is displaced from the home in the event of one owner's death, they decide to hold title in such a way that if any of them dies, the others own the deceased person's share. how should they hold title?

Answers

To hold title in such a way that if any of them dies, the others on the deceased person's share, should hold the title as Joint tenancy.

In financial markets, a share is a unit of equity possession within the capital stock of an organization and can talk to devices of mutual funds, restricted partnerships, and actual estate investment trusts. Proportion capital refers to all the shares of a business enterprise.

Shares constitute fairness ownership in an agency or financial asset, owned by means of investors who trade capital to go back for those gadgets. Common shares enable voting rights and viable returns via charge appreciation and dividends.

Agencies promote shares to raise capital for their enterprise. They difficulty stocks through preliminary public imparting inside the number one marketplace, which can be then traded in the secondary marketplace.

Learn more about shares here:-https://brainly.com/question/25818989

#SPJ4

_____ is a name, term, or symbol used to identify a business and its products. a.A copyright b.Goodwill c.A patent d.A trademark

Answers

The correct answer is trademark is a name, term, or symbol used to identify a business and its products, such as McDonald's golden arches.

Any word, phrase, symbol, design, or combination of these that distinguishes your products or services might be considered a trademark. Customers use it to recognize you in the marketplace and set you apart from your rivals. Both trademarks and service marks are included under the umbrella term "trademark." The rights of those who produce literary, theatrical, musical, artistic, and specific other intellectual works are generally protected by copyrights (like history tests, and software code). The use of a company's name, product names, brand identification (such as logos), and slogans are all protected by trademarks. A registered trademark in special form format is an example of the golden arches logo from McDonald's®.

To learn more about trademark click on the link below:

brainly.com/question/28851180

#SPJ4

williams alternative power, inc. a company developing solar panels, is applying for a loan. the research the company has done for the manufacturing process would be a(n) asset for the loan evaluation. a. intangible b. revolving c. tangible d. collateral

Answers

Williams Alternative Power, Inc., a solar panel manufacturer, has applied for a loan. For the loan appraisal, the company's study on the manufacturing process would be an intangible asset.

What is the distinction between tangible and intangible?

Tangible assets are anything that can be physically touched, such as inventories, buildings, or copying machines. Meanwhile, intangible assets are anything of value that cannot be physically touched, such as trademarks, domain names, and the goodwill you've built up around your company's brand. Machines, buildings, cars, and land are examples of physical assets. Intangible assets include intellectual property rights, copyright, a firm logo, goodwill, patents, trademarks, and so on. Intangible assets do not exist physically, yet they have monetary value because they represent potential revenue. Computer software, licenses, trademarks, patents, films, copyrights, and import limits are examples of intangible assets. Goodwill gained in a company combination is accounted for under IFRS 3 and is not covered by IAS 38.

To know more about Intangible assets visit:

brainly.com/question/13729325

#SPJ4

instituting a company-wide policy that all products must provide for at least an 11 percent profit margin to reach a particular profit goal for the firm is an example of which pricing orientation?

Answers

Instituting a company-wide policy that all products must provide for at least an 11 percent profit margin to reach a particular profit goal for the firm is an example of profit orientation.

An earnings-orientated pricing method approach that we're going to set our product fee primarily based on a selected profit aim. that is a goal go back - that means we want to make a sure percent on each unit that we sell or it can be that we want to maximize income.

Income-orientated goals ought to direct the producers toward making profit out of the commercial enterprise. Following are a number of the points for attaining such goals: decrease the value of manufacturing and advertising. growth the excellent and amount of your merchandise.

Learn more about profit orientation here:https://brainly.com/question/25157578
#SPJ4

the balanced scorecard relies on four processes to bind short-term activities to long-term objectives. what are they?

Answers

The balanced scorecard relies on four processes to bind short-term activities to long-term objectives - Translating the vision, Communicating and linking, Business planning, Feedback and learning.

What is a balanced scorecard?

A strategic management performance indicator known as the balanced scorecard (BSC) is used to identify and enhance various internal business activities and the results they have on the outside world. Balanced scorecards are a widespread tool used by businesses in the United States, the United Kingdom, Japan, and Europe to measure and provide feedback to organisations. In order to provide quantitative results, data collecting is essential because managers and executives must acquire and analyse the data. The decision-making of company personnel for the future of their organisations can be improved with the help of this knowledge.

The balanced scorecard was initially developed by business leader and theorist Dr. David Norton and accounting professor Dr. Robert Kaplan. It was initially published in 1992 in the Harvard Business Review article "The Balanced Scorecard—Measures That Drive Performance."

The 4 activities are:

1.  Translating the vision

2. Communicating and linking

3. Business planning

4. Feedback and learning

To know more about balanced scorecard visit:

brainly.com/question/25645358

#SPJ4

abc co. acquired 100% of xyz inc. on january 1, 2022. during 2022, abc sold goods to xyz for $300,000 that cost abc $220,000. xyz still owned 30% of the goods at the end of the year. cost of goods sold was $985,000 for abc and $650,000 for xyz for the year ended december 31, 2022. what was consolidated cost of goods sold for the year ended december 31, 2022?

Answers

The consolidated cost of goods sold for the year ended December 31, 2022, is  $1,359,000.

In economics, goods are gadgets that fulfill human wishes and offer software, for instance, to a client making a purchase of a fulfilling product. A commonplace distinction is made between items that are transferable, and offerings, which aren't transferable.

There are 4 unique styles of goods in economics, which may be categorized based totally on excludability and rivalrousness: non-public items, public items, commonplace resources, and club items. Non-public items are merchandise that might be excludable and rival. Public items describe merchandise that is non-excludable and non-rival.

Goods are essential for our everyday lifestyles. without them, we cannot stay. on the other hand, organizations produce them to make us greater comfortable assembly our wants and desires. by way of doing so, they make earnings.

Learn more about goods here:-https://brainly.com/question/25262030

#SPJ4

brainly at the end of the first year of operations, the balance sheet of midwood medical supply showed the following account balances: accounts receivable, $5,000; accounts payable, $6,000; inventory, $3,000; and unexpired insurance, $2,000. the corporation reported net income of $79,000 for the year, including depreciation expense of $5,000, and uses the indirect method of computing net cash flow from operating activities. solely on the basis of this information, net cash flow from operating activities is: a. $78,000. b. $82,000. c. $77,000. d. $80,000.

Answers

The correct answer is B. $82,000.Net cash flow from operating activities is calculated by taking the net income of $79,000 and adding back the depreciation expense of $5,000, giving a total of $84,000.

This amount is then adjusted for changes in current assets and current liabilities. Since accounts receivable decreased by $5,000 and accounts payable increased by $6,000, the net cash flow from operating activities is calculated as $84,000 - $5,000 + $6,000 = $82,000.

Net cash flow refers to either the gain or loss of funds over a period (after all debts have been paid). When a business has a surplus of cash after paying all its operating costs, it is said to have a positive cash flow.

To know more about cash flow here

https://brainly.com/question/14135451

#SPJ4

hedge funds differ from open-end mutual funds in the sense that a.they require a much smaller initial investment. b.they are open to additional investments at any time. c.their investors cannot sell shares back to the fund at any time they desire. d.they invest in very limited set of securities. e.they declare their investment strategies in the prospectus.

Answers

Hedge funds differ from open-end mutual funds in the sense that their investors cannot sell shares back to the fund at any time they desire.

What are hedge funds?

A hedge fund is a small enterprise of individual investors whose capital is managed by experienced fund managers. These managers use a number of strategies, such as borrowing cash or dealing in unconventional assets, to produce returns on investments that are higher than average. Investment in hedge funds is sometimes viewed as a dangerous alternative investment option since it typically has a high minimum expected gain or net worth requirement and frequently targets rich clientele.

By investing a component of the fund's assets in the reverse way of the fund's primary objective, the management of the fund sometimes creates a  Hedge fund focus on carefully chosen assets and security pools that are poised for rewards. Record-based hedge funds are equity index investment vehicles that aim to make money from significant market fluctuations brought on by economic or social events. A worldwide or country-specific stock hedge fund may invest in profitable stocks while protecting itself against equity market declines by selling short overpriced equities or stock indexes. By utilizing price or spread inefficiencies, a relative value hedge fund looks to profit from brief variations in the prices of comparable assets. Activist private equity invests in companies and demands that they reduce expenses in order to increase their stock price.

To know more about hedge funds: https://brainly.com/question/25289448

#SPJ4

What is the process of managing changes to the business requirements throughout the project?

Requirements management

Requirements definition document

Requirements documentation

All the above

Answers

the process of managing changes to the business requirements throughout the project is known as requirements management.

Descriptions of the necessary system characteristics and functionalities are established during the analysis phase. Screen designs, business rules, process diagrams, pseudo code, and other documentation might be included in these descriptions.

How do you manage requirements?

Requirements management in the project seeks to ensure that a business accurately documents, validates, and meets the needs and expectations of its customers and other internal or external stakeholders. The first step in requirements management is the analysis and elicitation of the organization's objectives and constraints.

Requirements managing is changes to the business requirements throughout the project

Other elements of requirements management include assisting with planning for requirements, integrating requirements and the organization for dealing with them, as well as interactions with other information delivering on requirements and modifications for these.

Learn more about requirements management, here:

brainly.com/question/4008023

#SPJ4

how can a positive relationship between the expected return on a security and its beta be justified? multiple choice question. because the risk-free rate is equal to zero because the value of beta is always positive because the difference between the return on the market and the risk-free rate is likely to be positive because the difference between the return on the market and the risk-free rate is likely to be negative

Answers

How can a positive relationship between the expected return on a security and its beta be justified Because the difference between the return on the market and the risk-free rate is likely to be positive.

Market is defined as a regular gathering of people for the purchase and sale of provisions, livestock, and other commodities.

A positive relationship between the expected return on a security and its beta be justified since the difference between them is likely to be positive. In other words, it is the stock's sensitivity to market risk. For instance, if a company's beta is equal to 1.5 the security has 150% of the volatility of the market average. However, if the beta is equal to 1, the expected return on a security is equal to the average market return.

Therefore, the correct option is difference between the return on the market and the risk-free rate is likely to be positive.

To know more about market, click below-

https://brainly.com/question/13414268

#SPJ4

assume that one year ago you bought 100 shares of a mutual fund for $13.50 per share, you received a $0.42 per-share capital gain distribution during the past 12 months, and the market value of the fund is now $17. calculate the total return for this investment if you were to sell it now.

Answers

The total return for this investment is $392.

The total return from investment is the distinction between the deals that continue at current market esteem in addition to the capital addition less buy (venture) costs.

Explanation:

Number of shares of mutual fund = 100

The per share price = $13.50

per-share capital gain = $0.42

the market value of the fund = $17

The total returns for 100 shares=( current value+ capital gain - purchase price) * 100

($17 + $0.42 + $13.50)*100

3.92*100 =392

Total sales (If sold) = ($17 * 100) = 1700

Total capital gain = ($0.42 * 100) = 42

Purchase cost = ( $13.50 * 100) = 1350

Total returns = ( $1700 +$ 42 - $392) = $392

return on investment= ($392*100/$1,350) =29.04%

The total returns can also be expressed as a percentage as;

($392*100/$1,350) =29.04%

Subsequently, the all-out returns acknowledged from the acquisition of the common asset are $392, or 29.04% of the investment cost.

Learn more about the total returns:

https://brainly.com/question/29679927

#SPJ4

during the current tax year, joe is a partner in a plumbing business. his amount at-risk at the beginning of the year is $45,000. during the year, joe's share of loss is $60,000. 1. what is the amount of the loss that joe may deduct for the current tax year? $fill in the blank 1 2. if joe has a profit of $31,000 in the following tax year, how much is taxable?

Answers

The amount of the loss that joe may deduct for the current tax yearJoe has a profit of $31,000 in the following tax year, taxable money is $16000.

Taxes are mandatory contributions levied on the individuals or corporations by a central authority entity—whether nearby, regional, or countrywide. Tax sales finance government sports, such as public works and offerings consisting of roads and schools, or applications consisting of Social Safety and Medicare.

It derives from the Latin taxable which means 'to evaluate. earlier than that, English used the associated phrase 'project', derived from old French. For a while, 'project' and 'tax' have been each in no unusual use, the primary requiring labor, the second one money.

Learn more about taxes here:-brainly.com/question/25783927

#SPJ4

Refer to Exhibit 5-6. Between Year 1 and Year 2, the general level of prices increased by approximately: a. 33.3 percent. b.133.3 percent. c. 66.7 percent d. 16.7 percent

Answers

Between Year 1 and Year 2, the general level of prices increased by approximately 33.3 %.

Option A is correct.

General level of price:

A hypothetical measure of overall prices for some set of goods and services in an economy or monetary union over a given period, normalized in relation to some base set, is the general price level. Typically, a daily price index, typically the Daily CPI, is used to approximate the general price level.

What decides the general cost level?

The consumer price index (CPI) is the most frequently used price level index. The price level is looked at using a "basket of goods" method, which looks at all of the consumer-based goods and services. The index that measures the basket of goods rises as a result of changes in the aggregate price over time.

What drives the overall price level up?

There are two primary drivers of expansion: cost-push and demand-pull. Both are liable for a general ascent in costs in an economy, however each works diversely to come down on costs. When consumers' demand drives up prices, demand-pull conditions occur, whereas cost-push conditions occur when supply costs drive up prices.

Question is incomplete .Missing parts are :

Nominal GDP

GDP Year (billions)      deflator

Year 1            600       100.0

Year 2              1,000      133.3

Refer to Exhibit 5-6. Between Year 1 and Year 2, the general level of prices increased by approximately:

a. 33.3 percent.

b. 16.7 percent.

c. 133.3 percent.

d. 66.7 percent.

Learn more about general price level:

brainly.com/question/13068977

#SPJ4

harrison runs a bicycle manufacturing company. owing to increasing competition, his company starts losing its customer base. to regain its position in the market, harrison keenly observes his competitors' business plans and strategies and then incorporates a change in his company's marketing strategy. eventually, his company starts making profits. this is an example of

Answers

Harrison owns a business that makes bicycles. His business begins to lose customers as a result of rising competition He then incorporates a modification into his company's marketing strategy. His business eventually turns a profit. An illustration of benchmarking is this.

Organizations can concentrate their limited resources on the best opportunities to boost sales and gain a competitive edge by using marketing strategies. Building on strategic management, strategic marketing emerged as a separate field of study in the 1970s and 1980s.

Marketing objectives are quantifiable targets that specify what your marketing strategy's intended outcomes should be. Their main objective is to direct your marketing initiatives toward predetermined milestones.

To know more about marketing strategy, click here.

https://brainly.com/question/29376574

#SPJ4

providian corporation is a mutual insurance company. the company has had a good year, with the amount of premiums exceeding the number of claims by a significant amount. this is likely to result in a(n)

Answers

The company has had a good year, with the amount of premiums exceeding the number of claims by a significant amount. this is likely to result in a(n) The beneficiary must pay taxes on any amount he or she receives that exceeds the sum of the premiums paid into the contract.

A company is a prison entity shaped by using a group of individuals to interact in and perform an enterprise—business or commercial—organization. An enterprise can be organized in diverse approaches for tax and financial liability purposes relying on the corporate law of its jurisdiction.

There are 3 commonplace kinds of corporations—sole proprietorship, partnership, and organization—and each comes with its very own set of benefits and downsides. In easy terms, the reason for an enterprise is to have a significant imagination and prescient after which to be worthwhile in accomplishing it. And we should qualify “profitable”: profitability means long-time period sustainable returns, and each word in that phrase is vital.

Learn more about the company here:

https://brainly.com/question/25818989

#SPJ4

What is one output of enterprise strategy formulation?

Portfolio Governance
Portfolio Budgets
Portfolio Vision
Portfolio Canvas

Answers

The answer is portfolio budgets.
Other Questions
if a vehicle is going 72mph, how many feet does the vehicle travel in one second? Gregory gave a glass of water to each person at dinner. He puts more than 2 ice cubes in each glass . Each glass has the same number of ice cubes. How many ice cubes could Gregory use all. g suppose you run a flower delivery business and employ college students to drive the vans and make deliveries. you are considering hiring an additional worker. which of the following information would you need to know to decide whether doing so would increase or decrease your profit? naomi is an aggressive driver, to the point where she has caused several accidents by taking needless risks in order to get ahead in traffic. what type of personality is shown in this scenario? FILL IN THE BLANK. Healthcare organizations seek ________ in order to prove they meet the standards of legitimate and appropriate medical practice Viewing a failed attempt as merely part of the processand a useful way to gain knowledge and becomesuccessful is known as _______a.Emotional intelligenceb.SMART goalsc.Gritd.Time management Demetrius is skiing on a circular ski trail that has a radius of 0.8 km. Demetrius starts at the 3-o'clock position and travels 2.2 km in the counter- clockwise direction. a. How many radians does Demetrius sweep out? 2.75 radians Preview b. When Demetrius stops skiing, how many km is Demetrius to the right of the center of the ski trail? * km Preview c. When Demetrius stops skiing, how many km is Demetrius above of the center of the ski trail? * km Preview This is math I got it today and its due soon it would be amazing if someone can help As mentioned in the chapter, opinion-polling organizations contact their respondents by sampling random telephone numbers. Although interviewers can reach about 76% of U.S. households, the percentage of those contacted who agree to cooperate with the survey fell from 58% in 1997 to only 38% in 2003. Each household, of course, is independent of the others. Using the cooperation rate from 2003, a) what is the probability that the next household on the list will be contacted but will refuse to cooperate? b) what is the probability of failing to contact a house hold or of contacting the household but The examples below describe two events relating to U.S. government.Example A: The U.S. Supreme Court declares a law created by Congress unconstitutional.Example B: Congress passes a new tax law and the Internal Revenue Service (IRS) enforcesit.What constitutional principles are demonstrated in example A and B?(5 Points)Example A: checks and balances; Example B: separation of powersExample A: checks and balances; Example B: judicial reviewExample A: separation of powers; Example B: individual rightsExample A: separation of powers; Example B: checks and balances draw the major product for each of the following reactions the los angeles lakers and the miami heat are competing in the nba finals. in the nba finals, the first team to win 4 games wins the championship. games are played until a team wins 4 games, no matter how many other wins the other team has, and to a maximum of 7 games if necessary. every game has a winning team (i.e. ties are not allowed). two series are considered different if there is a difference between the winners of at least one of the individual games. for example: lllhl and hllll are considered different series, despite the lakers winning in 4 games in both series. how many possible different series are there? a researcher finds a positive correlation between a measure of community involvement and a measure of life satisfaction. how should we interpret the relationship between these variables? 1. Suppose that there are 5 children in a gymnastics class. One day, they count the number of steps each person takes while walking on their hands until they lose balance and come down. The results are: Ashley (20), Brittany (8), Carol (22), Darla (26), and Erica (24). The mean number of steps these children took while walking on their hands is 20 steps. (a) Identify the population and the parameter. ate the mean number of steps taken while walking on their(b) List all 10 poss SRSs of size n-2. Ca hands for each sample. (c) Display the sampling distribution of the sample mean on a dotplot. Which of the following is not a polynomial a 3x 5 B 3y 4y 2y? what are wedges and flags in a stock chart? a triangular shape formed by the intersection of two trendlines a price below the current market price a technical analysis tool to measure the highs and lows of a security price relative to previous trade data a measure of risk versus reward Common or proper nouns Nia rubbed her nose and sniffled under the bush steel tariff, foreign firms selling steel in the u.s. had to pay $_____ per ton to the government for the privilege of importing. WHICH FOOTBALL TEAM ARE YOU GUYSARGENTINAPORTUGALBRAZILGERMANYSPAINUSAMOROCCO The cell cycle is fundamental to the reproduction of eukaryotic cells. (a) Describe the phases of the cell cycle. (b) Explain the role of THREE of the following in mitosis or cytokinesis: Kinetochores Microtubules Motor proteins Actin filaments (c) Describe how the cell cycle is regulated and discuss ONE consequence of abnormal regulation.