Suppose now the same client as in the previous problem prefers to invest in your portfolio a proportion (y) that maximizes the expected return on the overall portfolio subject to the constraint that the overall portfolio's standard deviation will not exceed 20%. What is the maximum investment proportion, y, for the risky portfolio

Answers

Answer 1

Answer:

P = 74.07%

Explanation:

Note: An important data is missing in this question to solve for the maximum investment proportion y for the risky portfolio. I have found the similar question on the internet and I am including that missing data to complete this question in order to solve for the sack of understanding and concept.

Required: Maximum investment proportion y for the risky portfolio.

Let's denote this requirement as P for proportion.

Given Data:

Standard Deviation of investor's portfolio = 20% = 0.20

According to the formula to calculate the proportion of investment that investor wants to do in the risky portfolio, we need to have standard deviation of the risky portfolio, which is missing in this question. I have found it on the internet

Standard Deviation of the risky portfolio = 27% = 0.27

So, the formula is:

Standard deviation of the investors portfolio = Investment Portfolio x Standard deviation of the risky portfolio.

Let's suppose,

[tex]SD_{IP}[/tex] = Standard deviation of the investors portfolio

[tex]SD_{RP}[/tex] = Standard deviation of the risky portfolio.

P = Investment Proportion

So,

[tex]SD_{IP}[/tex]  = P x [tex]SD_{RP}[/tex]

Solving for P

P = [tex]SD_{IP}[/tex]/[tex]SD_{RP}[/tex]

Plugging in the values.

P = 0.20/0.27

P = 0.7407 x 100

P = 74.07%

Hence, we can conclude that, investor can invest 74.07% of his investment in the risky portfolio for not exceeding the standard deviation 20% of the investor portfolio.


Related Questions

At December 31, DePaul Corporation had the following cumulative temporary differences associated with its operations:

1. Estimated warranty expense, $16 million temporary difference: expense recorded in the year of the sale; tax-deductible when paid (one-year warranty).
2. Depreciation expense, $120 million temporary difference: straight-line in the income statement; MACRS on the tax return.
3. Income from installment sales of properties, $20 million temporary difference: income recorded in the year of the sale; taxable when received equally over the next five years.
4. Rent revenue collected in advance, $24 million temporary difference; taxable in the year collected; recorded as income when the performance obligation is satisfied in the following year.

Required:
Assuming DePaul will show a single noncurrent net amount in its December 31 balance sheet, indicate that amount and whether it is a net deferred tax asset or liability. The tax rate is 25%.

Answers

Answer:

$25 million net differed tax liability

Explanation:

The computation is shown below;

Net deferred tax liability is computed as;

= (Taxable temporary difference - Deductible temporary difference) × Tax rate

= ($120 million + $20 million - $16million - $24million ) × 25%

= $100 million × 25%

= $25 million

The above shows the net deferred tax liability of $25million hence same is to be considered.

A portfolio manager at an investment firm is responsible for handling the account of a particular corporate client. The client want to pay the manager a $100K bonus over and above his regular compensation from the investment firm if the manager achieves an 18% annual return on the account. To comply with the Code and Standards, the manager:A. can accept this offer as long as he discloses the arrangement to his employer and receives permission to accept.B. cannot accept this offer because it will interfere with his independence and ability to be objective regarding investment decisions and recommendations.C. can accept this offer and must disclose the bonus to his employer only if he actually receives it.

Answers

Answer:

A portfolio manager at an investment firm is responsible for handling the account of a particular corporate client. The client want to pay the manager a $100K bonus over and above his regular compensation from the investment firm if the manager achieves an 18% annual return on the account. To comply with the Code and Standards, the manager:

B. cannot accept this offer because it will interfere with his independence and ability to be objective regarding investment decisions and recommendations.

Explanation:

According to the Standard I(B) guidance of the CFA Institute, it is the responsibility of members "to maintain independence and objectivity." These include avoiding potential conflicts of interest and other adverse circumstances that can prejudice one's judgment.  The standard specifically forbids members from offering, soliciting, or accepting any form of gift, benefit, compensation, or consideration that can compromise their independence and objectivity.

Wealth effect. - Multiplier effect. - Crowding out effect. - Autonomous consumption. - Laffer curve. - Automatic stabilizer. - Permanent income. - Closed economy. - Capital deepening. - Rule of 70. A. Explanation of the slope of AD curve. B. Years to double output. C. 1/MPS. D. Long run average level of income. E. Transfer payments. F. Fall in investment due to increase in G. G. Economy without foreign sector. H. Spending without income. I. Increase capital per worker. J. Lower tax rates lead to higher tax revenues.

Answers

Answer and Explanation:

The matching is as follows:

Wealth effect = This would give the AD curve slope explanation

Multiplier effect = 1 ÷ MPS

Crowding out effect = Decline in investment because of rise in G.

Autonoumous consumption= Spending without considering income.

Laffer curve = Lesser tax rates that lead to higher tax revenues.

Automatic stabilizer = Transfer payments.

Permanent income= Long run average income level

Closed economy= Economy without considering foreign sector.

Capital deepening = rise in capital per worker.

Rule of 70 = Number of Years to double output.

Swifty Corporation had 296000 shares of common stock issued and outstanding at December 31, 2020. During 2021, no additional common stock was issued. On January 1, 2021, Swifty issued 408000 shares of nonconvertible preferred stock. During 2021, Swifty declared and paid $170000 cash dividends on the common stock and $158000 on the nonconvertible preferred stock. Net income for the year ended December 31, 2021, was $957000. What should be Swifty's 2021 earnings per common share, rounded to the nearest penny

Answers

Answer:

2.70

Explanation:

Calculation for What should be Swifty's 2021 earnings per common share, rounded to the nearest penny

Earnings per common share=($957,000 - $158,000)/296,000

Earnings per common share=$799,000/296,000

Earnings per common share= 2.70

Therefore What should be Swifty's 2021 earnings per common share, rounded to the nearest penny is 2.70

Sanjay has three children and is starting a new company. He is looking down the road to a future time when his children are grown and could take over the business. Given his future wishes, what question is most important for him to consider when establishing his new business

Answers

Answer:

what is the best business structure for continuity and transferability

Explanation:

Sanjay is looking towards beginning a new company. His plans are for his children to take over the company when they are adults in the future.

The most important question he has to consider in this establishment, is one whose answer can provide with the best business entity/structure that would still stand in the future and whose ownership can be handed over to his children In the future.

True or false: The FASB considers written comments from interested parties before issuing an Accounting Standards Update.

Answers

Answer:

True.

Explanation:

FASB is an acronym for Financial Accounting Standards Board. The financial accounting standards board (FASB) is a private, non-profit organization saddled with the responsibility of establishing and maintaining standard financial accounting and reporting for general guidance of individuals such as investors, issuers and auditors. It was founded in 1972 but began operations fully on the 1st of July, 1973 by replacing the Accounting Principles Board (APB) and American Institute of Certified Public Accountants (AICPA).

The FASB considers written comments from interested parties before issuing an Accounting Standards Update based on due process such as open hearing

Because Delta Development Services is the only company that supplies a critical product for clients, customers of Delta are likely to

Answers

Answer: put up with poor-quality products

Explanation:

Based on the information given, Delta Development Service is a monopoly that is , the sole provider of a ceetain good.

Because the company is the only provider, such company will charge a high price for its good and also won't try to improve the quality of its product

Because Delta Development Services is the only company that supplies a critical product for clients, customers of Delta are likely to put up with poor-quality products.

A recent comparison between two surgeons revealed a difference in their average cost per case. Describe three possible reasons for the observed difference and how you would determine whether or not the difference was statistically significant.

Answers

Answer and Explanation:

The three possible reasons are as follows:

Variables done under survey:

1. The surgical equipment cost may be change in the case when there is various vendor

2. The type or the method might be different in the case when there is a gap of generation between these two doctors

3, The management may given the various targets via revenue as one could work less in order to compensate

Here the mean variable difference would be tested by two means for each and every case or conduct the ANOVA for 3 variables that delievers the study that should be main and descriptive

How big does the return have to be to put a domestic stock fund in the top for the three-year period (to 2 decimals)

Answers

Answer:

20.944%

Explanation:

Complete question is: "The average return for large-cap domestic stock funds over the three years (2009-2011) was 14.8%. Assume the three-year returns were normally distributed across funds with a standard deviation of 4.8%. How big does the return have to be to put a domestic stock fund in the top 10% for the three-year period (to 2 decimals)?"

Top 10% would be 90th percentile.

Z at 0.9 from standard normal table = 1.28

==>> 1.28*4.8% + 14.8%

==>> 6.144% + 14.8%

==>> 20.944%

According to the equation, the return would be 20.944% that have to be to put a domestic stock fund in the top for the three-year period.

How big does the return have?

Given Information:

standard deviation=4.8%average return=14.8%

Top 10% would be 90th percentile.

Z at 0.9 from standard normal table = 1.28

Return= 1.28*4.8% + 14.8%

Return=6.144% + 14.8%

Return=20.944%

Learn more about domestic stock, refer to the link:

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If opening capital is ks 70000 and closing capital is ks 90000, what is the amount of profit or loss​

Answers

Answer:

20,000

Explanation:

The computation of the amount of profit or loss is given below:

As we know that

Closing capital = opening capital + profit or loss - drawings

90,000 = 70,000 + profit or loss - 0

Profit = 90,000 - 70,000

= 20,000

Hence, the amount of profit is 20,000

Personal-care workers with emotional and social intelligence benefit their clients because _____.

Answers

Answer:

Don't know, need points

Explanation:

Answer:

It is because they will be sensitive to clients' needs, wishes, and comfort, even when they are not directly stated

Explanation:

To succeed in today's competitive marketplace, companies need to be customer centered. Each company must divide up the total market, choose the best segments, and design strategies for profitably serving chosen segments. This process involves:

Answers

Answer:

market segmentation,

Market targeting, differentiation

Explanation:

It should be noted that To succeed in today's competitive marketplace, companies need to be customer centered. Each company must divide up the total market, choose the best segments, and design strategies for profitably serving chosen segments in a process involving market segmentation,Market targeting, differentiation.

Differentiation in marketing can be regarded as the creation of specialized products which is able to have competitive advantage along with a section of the market.

Market segmentation can be regarded as process involving division of heterogeneous market to relatively more homogenous segments according to particular parameters such as geographic, psychographic as well as demographic.

Market targeting can be regarded as

process involving selection of target market from the whole market. It

encompass groups of buyers that the company is striving to satisfy and set price for.

A manufacturing company prepays its insurance coverage for a three-year period. The premium for the three years is $3,120 and is paid at the beginning of the first year. Ninety percent of the premium applies to manufacturing operations and ten percent applies to selling and administrative activities. What amounts should be considered product and period costs respectively for the first year of coverage

Answers

Answer and Explanation:

The computation of the amount of the product and period cost is shown below:

Given that

Total Payment made for Three Years = $3,120

Per Year Payment is

= $3,040 ÷ 3 years

=$1,040

Now

90% of the per year payment is allocated to manufacturing operations

= $1,040 × 90%

= $936

And, 10% is Applied to Selling and Administrative Activities

= $1,040 × 10%

= $104

So, the product and period costs for the first year of coverage are $936 and $104 respectively.

Suppose that short-term municipal bonds currently offer yields of 4%, while comparable taxable bonds pay 5%. Which gives you the higher after-tax yield if your tax bracket is 30%

Answers

Answer:

30%

Explanation:

The computation of the after tax yield of the taxable bond in the case when the tax bracket is 30%

= rate × (1 - tax rate)

= 5% × (1 - 0.30)

= 5% × 0.70

= 3.50%

As we can see that the short term municipal bond is 4%

So this tax bracket should be chosen as the short term municipal bond gives higher after tax yield

A supplier has offered your company a reduced price per unit for a component part you purchase if you will increase your purchase quantity from to units.​ Currently, you pay ​$ per unit. The supplier has offered to reduce this cost to ​$ per unit if you purchase the higher quantity. You purchase approximately of the units annually. The cost to place an order is estimated to be ​$ per order regardless of the order size. Transportation costs are estimated to be ​$ per unit. Your cost to hold a component part in inventory is estimated at ​% annually based on the cost of the purchased item. Should you continue with your current​ policy, or should you take the incentive offered by the​ supplier?

Answers

Answer:

the numbers are missing:

A supplier has offered your company a reduced price per unit for a component part you purchase if you will increase your purchase quantity from 18,000 to 72,000 units.​ Currently, you pay ​$28.50 per unit. The supplier has offered to reduce this cost to ​$28.20 per unit if you purchase the higher quantity. You purchase approximately 279,000 of the units annually. The cost to place an order is estimated to be ​$360 per order regardless of the order size. Transportation costs are estimated to be ​$0.85 per unit. Your cost to hold a component part in inventory is estimated at 18​% annually based on the cost of the purchased item. Should you continue with your current​ policy, or should you take the incentive offered by the​ supplier?

currently the total cost = [279,000/18,000 x $360] + (18% x $28.50 x 18,000/2) + (279,000 x $0.85) + ($28.50 x 279,000) = $5,580 + $46,170 + $237,150 + $7,951,500 = $8,240,400

total cost after proposed change in order size = [279,000/72,000 x $360] + (18% x $28.20 x 72,000/2) + (279,000 x $0.85) + ($28.20 x 279,000) = $1,395 + $182,736 + $237,150 + $7,867,800 = $8,289,081

the proposed change in order size should not be accepted and the company should continue with its current policies

True/False: ABC Corporation is concerned that its employees are spending too much work time talking on the telephone, sending e-mails, and using the internet for personal use. ABC Corporation begins to monitor its employees’ work email. ABC Corp is most likely protected under the law.

Answers

Answer: True

Explanation:

ABC Corp. employees’ work email is a service provided by the company for the employees to perform work-related communication and as such is considered the property of ABC Corp. which means that they are well within their rights to monitor these emails with the full protection of the law.

They would be in violation of laws should they begin to monitor personal communication such as private emails.

The given statement is true since the law provides the right to the companies to monitor the activities of their employees within the workplace.

What is law?

A law can be defined as a system of rules that are made to govern the activities of the persons on whom it is imposed.

In the given case, the employees can get the privilege of the law that gives them the right to privacy. Under this law, the employer cannot monitor the personal emails and information of the employee even if they are sent from the workplace.

But on the other hand, the law benefits the employer by monitoring the work emails of the employees and taking corrective actions if necessary.

Therefore the statement is true.

Learn more about law here:

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Simon decided to invest $8,000 in the stock market one day early in 2008. Six months after he invested, on July 17, the stocks he had purchased were down 50%. Fortunately for Simon, from July 17 to October 17, the stocks he had purchased went up 75%. At this point, Simon has:

Answers

Answer:

At this point, Simon has lost $1,000 of his money.

Explanation:

This can be determined by calculating the current value of Simon's investment as follows:

Initial amount invested = $8,000

Value of the investment on July 17 = Initial amount invested * (100% - Percentage of loss) = $8,000 * (100% - 50%) = $4,000

Value of the investment on October 17 = Value of the investment on July 17 * (100% + Percentage of increase) = $4,000 * (100% + 75%) = $7,000

Amount of loss on October 17 = Initial amount invested - Value of the investment on October 17 = $8,000 - $7,000 = $1,000

Therefore, at this point, Simon has lost $1,000 of his money.

Jorge and Anita, married taxpayers, earn $142,000 in taxable income and $49,000 in interest from an investment in City of Heflin bonds. (Use the U.S. tax rate schedule for married filing jointly). Required: If Jorge and Anita earn an additional $104,500 of taxable income, what is their marginal tax rate on this income

Answers

Answer:

Jorge and Anita

Their marginal tax rate on their income is 24%.

Explanation:

a) Data and Calculations:

Taxable income = $142,000

Interest from municipal bonds = $49,000

Additional taxable income = $104,500

Total taxable income:

Taxable income = $142,000

Additional taxable income = $104,500

Total = $246,500

Their joint  income is within the $165,601 - $315,000 band, which attracts 24% marginal tax rate.

b) Note that income from investing in municipal bonds is generally exempt from Federal and state taxes, especially for residents of the issuing state, except capital gains attributed to the investment.

A company issued 10-year,7%bonds with a par value of $100,000. The company received $96,526 for the bonds. Using the straight-line method, the amount of interest expense for the first semiannual interest period is: (round to the nearest dollar)

Answers

Answer:

$3,673.70

Explanation:

Discount on issue = $100,000 - $96,526 = $3474

Divide by Total semiannual periods = 10*2 = 20

Semiannual Discount amortization = $3474 /20 = $173.70

Semiannual Cash interest = $100,000*7%/2 = $3,500

Add: Discount amortization = $173.70

Interest expense for the first semiannual interest period = $3,673.70

In ideal situations, the goal of communication is to: a. provide valuable feedback. b. reach mutual understanding. c. commend others. d. better prospects of self-advancement.

Answers

Answer:

a. provide valuable feedback.

Explanation:

Communication has often been defined as a two-way process of sending and then receiving information. So what comes first or the goal based on this definition is getting valuable feedback.

Hence, in ideal situations reaching mutual understanding isn't the goal, neither is commending others or self-advancement, but a conscious satisfaction that comes from having received valuable feedback.

For example, if there's no feedback, then the question about mutual understanding isn't relevant.  

A legal and binding form of business ownership whereby someone with a good idea for a business sells the rights to use the business name and sell a product or service to others in a given territory is known as a(n)

Answers

Answer:

The right approach is "Franchise Agreement".

Explanation:

A franchise agreement would be a legally binding system of management out the structure of the contract between the franchise system as well as its owner. Throughout compensation again for the acquisition of a franchise, this same franchisor generally gets an actual opening service charge as well as a yearly processing fee.

3. Assume you can earn 9% per year on your investments. a. If you invest $100,000 for retirement at age 30, how much will you have 35 years later for retirement? (Answer: $2,041,397) b. If you wait until age 40 to invest the $100,000, how much will you have 25 years later for retirement? (Answer: $862,308) c. Why is the difference so large?

Answers

Answer:

Results are below.

Explanation:

Giving the following information:

Interest rate= 9%

To calculate the future value, we need to use the following formula:

FV= PV*(1+i)^n

a)

PV= $100,000

n= 35

i= 0.09

FV= 100,000*(1.09^35)

FV= $2,041,396.79

b)

PV= $100,000

n= 25

i= 0.09

FV= 100,000*(1.09^25)

FV= $862,308.07

There is a big difference between investing at 30 than at 40. It is due to the compounding interest of the first 10 years.

GDP for this economy is _____. rev: 04_09_2018 Multiple Choice $6,400 billion $7,500 billion $9,400 billion $10,470 billion

Answers

Answer:

b. $7,500 billion

Explanation:

Note: The complete question is attached as picture below

GDP = C + I + G + X - M

GDP = Consumption + Investment + Government purchases + Exports -  Imports

GDP = $5,100 + $1,100 + $1,400 + $850 - $950

GDP = $7,500 billion.

Hence, the GDP for this economy is $7,500 billion.

Creswell Corporation's fixed monthly expenses are $26,000 and its contribution margin ratio is 60%. 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 $84,000

Answers

Answer:

See below

Explanation:

The company's net operating income would be;

= fixed expenses / Contribution margin ratio

= $26,000/60%

= $43,333

g True or False and then Explain: Firm profits are always higher if the firm can engage in third degree price discrimination than if it has to charge different groups the same price.

Answers

Answer:

true

Explanation:

Price discrimination is when the same product is sold at different prices to customers in different markets

types of price discrimination

1. first degree price discrimination : here sellers charge each consumer at their willingness to pay in order to eliminate consumer surplus.

2. second degree price discrimination : here firms offer different prices depending on the quantity purchased. e.g. giving discounts for bulk purchases.  

3, third degree price discrimination : firms charge different prices to different groups of customers. e.g. having a certain price for senior citizens, students  

If a company charges different prices to different groups, they would be charging at prices customers would be willing to pay

When might you use the Bank Deposit Transaction in Quickbooks Online?

• Your client wants to apply a customer payment to an open invoice

• Your client wants to record an SBA loan amount received

• Your client wants to record sales from her upcoming trade show and provide sales receipts

• Your clients wants to refund a customer

Answers

Answer:

• Your client wants to apply a customer payment to an open invoice

Explanation:

• Your client wants to apply a customer payment to an open invoice

Which is the difference between static storage systems and dynamic storage systems

Answers

Answer:

In a static storage area each product is assigned a specific area, whereas in dynamic storage, product locations and fluid and as such are subject to change.

Perrine Industrial Inc. just paid a dividend of $5 per share. Future dividends are expected to grow at a constant rate of 7% per year. What is the value of the stock if the required return is 16%

Answers

Answer:

$59.44

Explanation:

Calculation for What is the value of the stock if the required return is 16%

Value of the stock= (5.00* 1.07) / 16% - 7%

Value of the stock= = 5.35 / .09

Value of the stock= $59.44

Therefore the value of the stock if the required return is 16% is $59.44

Orange Corporation has budgeted sales of 18,000 units, targeted ending finished goods inventory of 4,000 units, and beginning finished goods inventory of 3,000 units. How many units should be produced next year?

Answers

Answer:

19,000 units

Explanation:

The applicable formula is the formula for calculating the cost of goods sold.

COGS = beginning inventory+ purchases(production) - ending inventory

COGS will be Budgeted sales = `18,000

Beginning inventory =3,000

Ending inventory =4,000

18,000 = 3,000 + P - 4,000

18,000 = 3,000- 4,000 + P

18,000 = -1000 + P

P= 18,000+1000

P= 19,000

Paige Company estimates that unit sales will be 10,200 in quarter 1, 13,000 in quarter 2, 14,900 in quarter 3, and 18,400 in quarter 4. Management desires to have an ending finished goods inventory equal to 24% of the next quarter’s expected unit sales.

Required:
Prepare a production budget by quarters for the first 6 months of 2017.

Answers

Answer:

the answer will be 15%

Explanation:

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