T/F: the bar chart, due to its limited forms, is less versatile than the pie chart or the line chart.

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Answer 1

The statement " the bar chart, due to its limited forms, is less versatile than the pie chart or the line chart" is False

Bar charts are commonly used to compare separate data sets, show trends over time, and make comparisons between groups. In fact, the simplicity of bar charts is why they are so useful in many situations.

The advantage of bar charts is that they can be used to display both nominal and ordinal data. Nominal data refers to categories that have no inherent order, such as: B. Fruit type or color. Ordinal data, on the other hand, refers to categories that have an inherent order, such as: B. Letter grade or income bracket. Bar charts are versatile tools that can display both types of data and are useful in many situations.

Another advantage of bar charts is that they are easy to read and understand. The bars are easy to interpret and the charts are simple so they can be quickly understood by a wide audience. This makes it an effective tool for communicating complex data to non-technical audiences. In summary, bar charts are a limited but versatile data visualization tool. Its simplicity, ability to display both nominal and ordinal data, and easy interpretation make it a useful tool in many situations. 

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swenor sees that someone in the organization has less education than him. what is among his likely actions according to equity theory

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According to equity theory, Swenor may engage in a few likely actions when he perceives someone in his organization has less education than him. Firstly, he may try to reduce the perceived inequity by increasing his own inputs (such as working longer hours or taking on more responsibilities) or decreasing his outcomes (such as accepting a lower salary or fewer benefits).

Alternatively, Swenor may seek to decrease the inputs or increase the outcomes of the person with less education, such as by mentoring or advocating for their promotion. Another possible action is that Swenor may try to leave the organization altogether if he feels that the inequity is too significant and cannot be resolved. Ultimately, the specific action that Swenor chooses will depend on his personal values, the context of the situation, and his perception of fairness in the organization.

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the paper money used in the united states is multiple choice treasury notes. united states notes. national bank notes. federal reserve notes.

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The paper money used in the United States is known as federal reserve notes. These notes are issued by the Federal Reserve System, which is the central banking system of the country.

They replaced the older national bank notes and United States notes, which were previously used. The federal reserve notes are backed by the assets of the Federal Reserve Banks and are accepted as legal tender throughout the country. They feature portraits of various American historical figures, such as George Washington and Benjamin Franklin, and are printed in a variety of denominations to suit different needs. The Federal Reserve System plays a crucial role in managing the money supply and ensuring the stability of the US economy. Overall, the federal reserve notes are an important part of the US monetary system and are widely recognized as a reliable and trusted form of currency.

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what do a security guard, a plumber, and a management consultant have in common?

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A security guard, a plumber, and a management consultant have several aspects in common.

All three professions require specific skill sets, training, and expertise in their respective fields. They also share the responsibility of problem-solving to address clients' needs, whether it's maintaining a safe environment, fixing plumbing issues, or improving a company's efficiency.

Moreover, each profession involves interacting with clients or customers, which necessitates strong communication and interpersonal skills.

Additionally, all three professionals need to adapt to various work environments, exhibit professionalism, and adhere to industry standards and guidelines to ensure satisfactory results.

In summary, a security guard, a plumber, and a management consultant all possess unique skills and knowledge, engage in problem-solving, and demonstrate effective communication and professionalism in their work.

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Assignment 6R (15 points) Assignment 6R: Word Processing Instructions Save this file in your course folder, and name it with Assignment, the assignment letter, the section number, and your first initial and last name. For example, Jessie Robinson's assignment 1R for Section 1 would be named Assignment1RJRobinson. Type the answers to the assignment questions below. Use complete sentences unless the question says otherwise. You will have more than one day to complete an assignment. At the end of each day, be sure to save your progress. Review Lesson 4 of the Course Overview for instructions about turning in your assignments. Assignment Questions In Section 6, you learned about word processing and business writing. Now, you'll use what you learned to answer the questions below. 1. Describe two jobs where being able to type quickly and accurately is an important skill. (1-2 sentences. 2.0 points) 2. Describe two jobs where proofreading is an important skill. (1-2 sentences. 2.0 points) 3. Proofread each of the following sentences, and then make changes so that the sentences are clear, without any errors. a. You're cover letter was created in Writer. (1.0 point) b. The job applicant's name is Kelly Marshall. (1.0 point) c. Being an intern can be interesting and challenging. (1.0 point) 4. Use the Internet to find an online job posting. Try searching a site like careerbuilder.com or monster.com. Then complete the items below. a. List the link to the posting. (1.0 point) b. List at least two requirements of the job. Complete sentences are not necessary. (2.0 points) c. List at least three tasks that are a part of the job. Complete sentences are not necessary. (3.0 points) d. Write 1-2 sentences explaining why or why not this job would be a good fit for you (2.0 points)

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Two jobs where being able to type quickly and accurately is an important skill are a transcriptionist and a data entry clerk.

How to explain the information

Two jobs where proofreading is an important skill are a copy editor and a court reporter.

a. "Your cover letter was created in Writer."

b. Correct as is.

c. "Being an intern can be both interesting and challenging."

Two requirements of the job: Must have a valid RN license and at least 2 years of acute care experience.

c. Three tasks that are part of the job: Provide direct patient care, administer medications and treatments, and monitor and record patient vital signs.

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southwest airlines is considering buying a new boeing 737. the airplane will cost 29 million dollars today and then generate 8 million dollars per year for the next 12 years. after 12 years, the airplane will not generate any cash for southwest airlines. if the cost of capital is 11%, what is the npv (in millions of dollars) of buying the new airplane?

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The net present value (NPV) of buying the new airplane is $19.39 million.

The net present value (NPV) of buying the new airplane can be calculated by discounting the cash flows generated by the airplane at the cost of capital, and then subtracting the initial cost of the airplane from the present value of the cash flows.

The formula for NPV is:

NPV = -C + (CF1 / (1+r)^1) + (CF2 / (1+r)^2) + ... + (CFn / (1+r)^n)

Where: NPV = Net present value, C = Initial cost of investment, CF = Cash flow in the respective year, r = Discount rate (cost of capital), and n = Number of years.

To calculate the NPV of buying the new Boeing 737 for Southwest Airlines, we first need to calculate the cash flows generated by the airplane. The airplane costs $29 million today and generates $8 million per year for the next 12 years. Therefore, the cash flows are as follows:

Year 0: -$29 million

Year 1: $8 million

Year 2: $8 million

Year 3: $8 million...

Year 12: $8 million

To calculate the NPV, we need to discount each cash flow at the cost of capital (11%) and sum them up. We can use the formula above to do this. The NPV of buying the new airplane is:

NPV = -$29 + ($8 / (1+0.11)^1) + ($8 / (1+0.11)^2) + ... + ($8 / (1+0.11)^12)

= -$29 + $7.21 + $6.47 + $5.82 + $5.23 + $4.71 + $4.24 + $3.81 + $3.43 + $3.08 + $2.77 + $2.49 + $2.23

= $19.39 million

Therefore, the NPV is approximately $19.39 million (in millions of dollars).

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how studying economics would benefit policy makers​

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Governments utilize economic tools to effect changes as they deem fit, even when external events may have an impact on economic activity. This might involve revisions to tax laws, changes to the federal funds rate, shifts in the quantity of money, or adjustments to government expenditure.

The issue of whether or not the government should become involved in the economy has philosophical roots. Some people think that the government has a duty to shield its people from financial hardship. Others think that free markets and free trade will operate naturally and self-regulate as they should.

The welfare of its population is something that the government has a natural interest in preserving. The government may decide to establish specific legislation in response to global situations in order to protect the standard of living for its citizens.

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a major labor market trend that contributed significantly to the growth of u.s. real gdp during the second half of the 20th century (1950-2000) was a steady group of answer choices decrease in the natural rate of unemployment. decrease in the average real wage rate. increase in the labor force participation rate for women. decrease in the fraction of young adults attending college instead of working. increase in the fraction of the employed people who work for the government.

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A major labor market trend that contributed significantly to the growth of U.S. real GDP during the second half of the 20th century (1950-2000) was the increase in the labor force participation rate for women.

This trend allowed a greater number of workers to participate in the labor market, increasing the available labor supply, and contributing to the growth of the economy. The other options listed are either not accurate or not as significant in driving economic growth during this time period. For example, a decrease in the natural rate of unemployment and a decrease in the average real wage rate would contribute to economic growth, but these trends were not as significant as the increase in labor force participation by women.

The fraction of young adults attending college instead of working is not directly related to labor market trends, and an increase in the fraction of employed people who work for the government is not necessarily a positive trend for economic growth.

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Sandy’s Socks makes the world’s best socks. Information for the last eight months follows: Month Number of Socks Produced Total Cost January 1,000 $1,800 February 3,250 4,000 March 4,300 5,350 April 1,250 2,150 May 5,350 6,800 June 6,900 7,818 July 3,500 4,750 August 4,250 5,300 Using the high-low method, calculate the total fixed cost per month and the variable cost per sock. (Round your "Variable Cost per Unit" answer to 3 decimal places.) Variable Cost per unit: Fixed Cost:

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Using the high-low method, we can calculate the total fixed cost per month and the variable cost per sock for Sandy's Socks.

To start, we need to determine the variable cost per unit. We can do this by subtracting the total fixed cost from the total cost of production at the highest and lowest levels of production and then dividing by the change in units produced.

The highest level of production occurred in June, with 6,900 socks produced at a total cost of $7,818. The lowest level of production occurred in January, with 1,000 socks produced at a total cost of $1,800.

Variable cost per unit = (Total cost at high production - Total cost at low production) / (High production - Low production)
Variable cost per unit = ($7,818 - $1,800) / (6,900 - 1,000)
Variable cost per unit = $1.20 per sock

To calculate the total fixed cost per month, we can subtract the variable cost per unit multiplied by the number of socks produced in a month from the total cost for that month. This will give us the total fixed cost for that month.

For example, in June, we can calculate the total fixed cost as follows:

Total fixed cost = Total cost - (Variable cost per unit * Number of socks produced)
Total fixed cost = $7,818 - ($1.20 * 6,900)
Total fixed cost = $7,818 - $8,280
Total fixed cost = -$462 (rounded to the nearest dollar)

This calculation indicates that there may be some error or outlier in the data for June. To calculate the total fixed cost per month for the other months, we repeat the same calculation using the number of socks produced and the total cost for each month.

The results are:

January: $800
February: $1,700
March: $2,000
April: $450
May: $2,050
July: $1,450
August: $1,700

Overall, using the high-low method, we can estimate that the total fixed cost per month for Sandy's Socks ranges from $450 to $2,050. The variable cost per sock is $1.20

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Which of the following causes the difference between the planned and actual contribution margin?
a. an increase in the amount of variable costs and expenses
b. an increase or decrease in the amount of sales
c. a decrease in the amount of variable costs and expenses
d. All of these choices are correct.

Answers

d. all of these choices are correct. an increase in the amount of variable costs and expenses, an increase or decrease in the amount of sales, and a decrease in the amount of variable costs and expenses.

The planned contribution margin is the amount of revenue that remains after deducting variable costs and expenses. The actual contribution margin is the amount of revenue that remains after deducting actual variable costs and expenses. Therefore, any increase or decrease in the number of variable costs and expenses can cause a difference between the planned and actual contribution margin.

Similarly, an increase or decrease in the amount of sales can also affect the contribution margin. For example, if sales increase, the contribution margin will increase, while a decrease in sales will cause a decrease in the contribution margin. Therefore, any of the choices given can cause a difference between the planned and actual contribution margin.

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option d, all of these choices are correct. Any of these factors can cause a difference between the planned and actual contribution margin. It is important for a business to monitor and analyze these differences in order to make necessary adjustments to improve profitability.

The planned contribution margin is the amount of revenue left over after deducting variable costs and expenses, while the actual contribution margin is the actual amount of revenue left over after deducting variable costs and expenses. The difference between the planned and actual contribution margin can be caused by various factors. Option a, an increase in the amount of variable costs and expenses, can cause a decrease in the actual contribution margin. If the actual variable costs and expenses are higher than the planned ones, the contribution margin will be lower than planned.Option b, an increase or decrease in the amount of sales, can also cause a difference between the planned and actual contribution margin. If sales are higher than planned, the contribution margin will be higher than planned. Conversely, if sales are lower than planned, the contribution margin will be lower than planned.Option c, a decrease in the amount of variable costs and expenses, can cause an increase in the actual contribution margin. If the actual variable costs and expenses are lower than the planned ones, the contribution margin will be higher than planned.

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nfs can be used to share files natively

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Yes, that is correct. Network File System (NFS) is a protocol that allows a computer system to access files over a network as if they were on a local storage device.

It is an open standard protocol used to share files over a network among multiple clients and servers.

NFS is commonly used in Unix and Linux operating systems to share files and directories between servers and clients.

With NFS, files and directories can be mounted on a client computer as if they were local files. This allows multiple users to access the same files simultaneously without having to make copies or transfer them over the network.

To use NFS, the server must have the NFS service running and the client must have an NFS client installed.

The client can then connect to the server and access the shared files and directories. NFS provides a simple, efficient, and scalable way to share files across a network.

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the difference between the flow of money into and out of a country is called its

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Answer:

The difference between the flow of money into and out of a country is called its balance of payments.

Explanation:

The difference between the flow of money into and out of a country is called its balance of payments. The balance of payments is a record of all transactions between a country's residents and its foreign counterparts, including payments for the country's exports and imports of goods, services, financial capital, and transfer payments. If a country's exports exceed its imports, it has a trade surplus, and the balance of payments will be positive. Conversely, if a country's imports exceed its exports, it has a trade deficit, and the balance of payments will be negative. The balance of payments is an important indicator of a country's economic health, as it can reflect trends in trade, investment, and currency exchange rates.

Answer:

Your school has not been performing well of late in external examinations . Write a letter to your headmaster, giving at least three reason for this poor performance and suggestion vemedes

Which of the following statements is true regarding a merit-based pay plan? A) It bases pay levels on how many skills employees have or how many jobs they can do.
B) It is also called competency-based pay plan.
C) Unions typically resist merit-based pay plan.
D) It distributes compensation based on an established formula designed around a company's profitability.
E) A typical merit-based pay plan provides no base salary and pays the employee only for what he or she produces.

Answers

The correct statement regarding a merit-based pay plan is A) It bases pay levels on how many skills employees have or how many jobs they can do.

What does this do?

This type of pay plan is designed to reward employees for their performance, skills, and contributions to the organization.

It encourages employees to improve their skills and increase their productivity, which in turn benefits the organization. While it may not always be called a competency-based pay plan, the two concepts are closely related. Unions may resist this type of pay plan if they feel it could lead to favoritism or bias in the evaluation process.

However, if implemented fairly and transparently, a merit-based pay plan can be an effective way to motivate employees and improve organizational performance.

Hence, option A. is correct.

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the charter of a corporation provides for the issuance of 118,683 shares of common stock. assume that 38,074 shares were originally issued and 4,727 were subsequently reacquired. what is the amount of cash dividends to be paid if a $2-per-share dividend is declared?

Answers

The amount of cash dividends to be paid when a $2-per-share dividend is declared is $66,694.

To calculate the cash dividends to be paid when a $2-per-share dividend is declared, you need to consider the number of outstanding shares. Outstanding shares are the shares that have been issued and are currently held by shareholders.

First, find the number of outstanding shares by subtracting the reacquired shares from the originally issued shares:
38,074 (originally issued) - 4,727 (reacquired) = 33,347 (outstanding shares)
Next, multiply the number of outstanding shares by the declared cash dividend per share:
33,347 (outstanding shares) x $2 (cash dividend per share) = $66,694

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Which of the following is not among the 'deadly sins of software security'? a.Implementationsins b.Networking sins c.Web applicationsins d.Extortion sins.

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Extortion sins, as it is not one of the commonly recognized categories of software security sins.

The deadly sins of software security are a set of common programming mistakes that can lead to security vulnerabilities. The correct answer is d. Extortion sins, as it is not one of the commonly recognized categories of software security sins.

The seven deadly sins of software security, as identified by security experts, are:

1. Input validation and representation sins
2. Authentication and password management sins
3. Access control sins
4. Security configuration sins
5. Cryptographic sins
6. Error handling and logging sins
7. Code quality sins

None of these categories include "extortion sins," which is not a recognized category of software security issues.

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business researchers can safely assume that the great majority of web sources are reliable. True or False

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FALSE. While the internet provides a vast amount of information that can be useful for business research, it is not safe to assume that the great majority of web sources are reliable.

The internet is filled with unreliable, biased, or outdated information that can negatively impact the research process. It is important for business researchers to carefully evaluate the credibility of each source they use and to use multiple sources to verify information. This includes assessing the authorship, publication date, and quality of the source, as well as checking for any potential biases or conflicts of interest. Ultimately, it is the responsibility of the researcher to ensure the reliability and accuracy of the sources they use in their research. Business researchers should not assume that the great majority of web sources are reliable. It is crucial for researchers to evaluate the credibility, accuracy, and trustworthiness of web sources before relying on them for decision-making or research purposes.

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An event, not open to the public, where suppliers present goods to business buyers is a(n):
Choose matching definition
Trade show
Direct spending
The aibtm rep
Convention center

Answers

An event, not open to the public, where suppliers present goods to business buyers is a trade show. A trade show is a specialized exhibition event where businesses showcase their products and services to potential buyers.

It is a platform where suppliers can interact with business buyers and establish business relationships. These events are not open to the general public and are exclusively reserved for professionals in the industry. A trade show can be organized for a specific industry or niche and can take place at various locations such as convention centers, exhibition halls, or hotels. The primary objective of a trade show is to generate leads, build brand awareness, and promote new products or services. It is an excellent opportunity for businesses to network with other professionals, identify industry trends, and explore potential partnerships. A trade show typically lasts for several days, and businesses invest significant resources to participate, including time, money, and effort.

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the most critical stage in the service marketing research process is when the marketing researcher:

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The most critical stage in the service marketing research process is when the marketing researcher identifies the research objectives and develops a research plan.Option (1)

This is because the research plan sets the direction for the entire research process, and determines the methods, techniques, and resources that will be used to collect and analyze data. If the research objectives are not clearly defined and the research plan is not well thought out, the research may not be effective in achieving its intended goals.

Therefore, it is essential for the marketing researcher to carefully consider the research objectives and develop a well-planned research design to ensure the success of the research project.  

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Full Question: The most critical stage in the service marketing research process is when the marketing researcher:

A) Identifies the research objectives and develops a research plan.

B) Conducts the research and analyzes the data.

C) Communicates the research findings and recommendations to stakeholders.

D) Selects the research methodology and collects the data.

E) All of the above.  

blockbuster's decision to begin selling dvds in addition to renting them is an example of:

Answers

Blockbuster's decision to begin selling DVDs in addition to renting them is an example of a diversification strategy. Diversification is a business strategy that involves expanding a company's operations into new products, services, or markets.

In the case of Blockbuster, adding DVD sales to their rental business was a way to increase revenue streams and stay competitive in the market. This move allowed Blockbuster to appeal to a broader customer base, including those who prefer to own their movies rather than rent them.

Additionally, selling DVDs allowed Blockbuster to profit from popular movie releases and avoid losing out to online retailers like Amazon. Overall, the decision to sell DVDs was a strategic move that allowed Blockbuster to diversify their business and improve their financial performance.

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Blockbuster's decision to begin selling DVDs in addition to renting them is an example of diversification.

Diversification is a strategy where a company expands its product or service offerings into new markets or industries. In the case of Blockbuster, the decision to sell DVDs in addition to renting them was a way to diversify their revenue streams and adapt to changing consumer preferences. By offering DVDs for sale, they were able to tap into a new market of customers who preferred to buy rather than rent. This allowed Blockbuster to capture more revenue from these customers and potentially increase their overall profitability. However, the decision to diversify also came with risks, as it required Blockbuster to invest in new inventory and distribution channels. Additionally, as digital streaming services emerged as a popular alternative to physical DVDs, Blockbuster's decision to sell DVDs may have been short-sighted in hindsight.

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suppose that a small-town theater has six potential customers and is looking to implement price discrimination depending on when customers want to attend. suppose the marginal cost of serving an additional customer is $1.50. the data provide information about the time of attendance and willingness to pay for a ticket.what should the theater charge for evening tickets?$what should the theater charge for matinee tickets?

Answers

The theater should charge a price for evening and matinee tickets based on the average willingness to pay of its customers plus the marginal cost of serving an additional customer.

Based on the given information, the small-town theater is planning to implement price discrimination to maximize their revenue. To do this, the theater will charge different prices for evening and matinee tickets depending on customers' willingness to pay.

Step 1: Determine the willingness to pay for evening and matinee tickets among the six potential customers. You will need to gather data about each customer's preferred time of attendance and the maximum price they are willing to pay for a ticket.

Step 2: Calculate the average willingness to pay for each category (evening and matinee). Add up the willingness to pay for each category and divide by the number of customers in that category.

Step 3: Add the marginal cost of serving an additional customer, which is $1.50, to the average willingness to pay for each category. This will help cover the costs while still maximizing revenue.

Step 4: The theater should charge the resulting amount for each category. For example, if the average willingness to pay for evening tickets is $10, the theater should charge $11.50 for evening tickets ($10 + $1.50). If the average willingness to pay for matinee tickets is $6, the theater should charge $7.50 for matinee tickets ($6 + $1.50).

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a corporation purchases 8,316 shares of its own $7 par common stock for $15 per share, recording it at cost. what will be the effect on total stockholders' equity?

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Thus, the corporation's purchase of 8,316 shares of its own common stock for $15 per share will result in a reduction of total stockholders' equity by $124,740, considering both the par value and the additional paid-in capital.

When a corporation purchases its own shares, it is referred to as treasury stock.

In this case, the corporation purchased 8,316 shares of its $7 par common stock for $15 per share, resulting in a total cost of $124,740 (8,316 shares * $15 per share).

Treasury stock reduces the total stockholders' equity, as it represents the company's repurchase of previously issued shares.

To understand the effect on total stockholders' equity, we need to consider two components: the par value of the shares and the excess of the purchase price over the par value, known as additional paid-in capital.

The par value of the shares is $58,212 (8,316 shares * $7 par value), and the additional paid-in capital is $66,528 ($124,740 total cost - $58,212 par value).

The effect on total stockholders' equity will be a reduction of both the par value and the additional paid-in capital by the respective amounts.

This means the total stockholders' equity will decrease by the sum of these two components, which is $124,740 ($58,212 + $66,528).

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investor perception of low default risk for mbs resulting in a higher demand for them is attributed to a. supply of homes lagging demand increases b. the growing bubble in the housing market c. the ability of lenders to sell of loans easily to issuers like fannie mae and freddie mac d. the ability of the servicer to help a borrower restructure the loan repayments e. none of the above

Answers

The correct answer to the question is c. The investor perception of low default risk for mortgage-backed securities (MBS) resulting in a higher demand for them is attributed to the ability of lenders to sell off loans easily to issuers like Fannie Mae and Freddie Mac.

This is because Fannie Mae and Freddie Mac are government-sponsored entities that buy mortgages from lenders and package them into MBS, which are then sold to investors. The fact that these entities guarantee the payment of principal and interest on the MBS makes them highly attractive to investors, as it reduces the risk of default.

The other options listed are not directly related to the investor perception of low default risk for MBS. The supply of homes' lagging demand increases may affect the housing market as a whole, but it does not necessarily impact the demand for MBS. The growing bubble in the housing market is a phenomenon that may lead to higher default risk, and therefore, lower demand for MBS. The ability of the servicer to help a borrower restructure the loan repayments may reduce the risk of default, but it does not necessarily affect the demand for MBS.

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Which one of the following does not represent market circumstances that make a focused low-cost or focused differentiation strategy attractive?

Answers

The market circumstance that does not make a focused low-cost or focused differentiation strategy attractive is high market demand.

When there is high market demand, firms can achieve economies of scale by producing products in large quantities, leading to lower costs per unit. In this situation, a company may choose to pursue a cost leadership strategy or a broad differentiation strategy to gain a larger market share. However, in situations where market demand is low or specific customer needs are not being met by broad market offerings, a company may choose to pursue a focused low-cost or focused differentiation strategy to serve a niche market. These strategies allow firms to cater to the specific needs of a small group of customers, which may be unprofitable for larger firms with high overhead costs. In conclusion, high market demand is not a favorable market circumstance for pursuing a focused strategy.

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farm z has the following information from the balance sheet. the farm expects a rate-of-return on assets of 15% and a cost of debt of 9%. the farm needs to pay an income tax rate of 25% and consumes 75% from after-tax net income. find the rate of growth of equity capital.

Answers

The rate of growth of equity capital for Farm Z is 4.875%.

The rate of growth of equity capital for Farm Z can be calculated using the DuPont Model as follows:

Return on Equity (ROE) = Net Income / Equity

ROE can be further broken down into two components: Return on Assets (ROA) and the Equity Multiplier. The Equity Multiplier is calculated as Total Assets / Equity.

ROE = ROA x Equity Multiplier

Given that the farm expects a rate of return on assets of 15%, we can calculate the Equity Multiplier as follows:

Equity Multiplier = Total Assets / Equity = 1 + (Total Debt / Equity)

Assuming that the farm has no preferred stock, we can calculate the after-tax cost of debt as follows:

After-Tax Cost of Debt = Cost of Debt x (1 - Tax Rate) = 9% x (1 - 0.25) = 6.75%

Using these values, we can calculate the Equity Multiplier as:

Equity Multiplier = 1 + (Total Debt / Equity) = 1 + (0.0675 / (1 - 0.25)) = 1.3

Now, we can calculate the ROE as:

ROE = ROA x Equity Multiplier = 0.15 x 1.3 = 0.195

Finally, we can calculate the rate of growth of equity capital as:

Rate of Growth of Equity Capital = ROE x (1 - Dividend Payout Ratio) = 0.195 x (1 - 0.75) = 0.04875 or 4.875%

Therefore, the rate of growth of equity capital for Farm Z is 4.875%.

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An annual fee charged by some mutual funds to cover marketing and selling expenses is the:
​a management fee.
​b back-end load.
​c transaction fee.
​d 12(b)-1 fee.
​e low-load.

Answers

The correct answer is d. 12(b)-1 fee. The 12(b)-1 fee is a fee charged by some mutual funds to cover marketing and distribution expenses.

This fee is included in a fund's expense ratio and is assessed annually as a percentage of the fund's net assets. The purpose of the fee is to compensate brokers and other intermediaries for promoting and selling the fund.

Management fees, on the other hand, are paid to the investment advisor who manages the mutual fund's portfolio. These fees are also included in the fund's expense ratio and are typically a percentage of the fund's net assets.

Back-end loads are fees charged when investors redeem shares in a mutual fund. These fees are usually a percentage of the value of the shares redeemed, and are designed to discourage short-term trading in the fund.

Transaction fees are charged when investors buy or sell shares in a mutual fund, and may be charged by the fund company, the broker, or both. Low-load funds typically charge lower sales fees than front-end load funds, but may have higher expense ratios to compensate for the lower fees.

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is the yen selling at a premium or a discount?is the australian dollar selling at a premium or a discount?do you expect the value of the dollar to increase or decrease relative to the value of the yen?do you expect the value of the dollar to increase or decrease relative to the value of the australian dollar?

Answers

Currently, it is difficult to determine whether the yen is selling at a premium or a discount as it depends on various factors such as economic conditions, political events, and global market trends.

However, generally speaking, the yen is known to be a safe-haven currency and tends to appreciate during times of global economic uncertainty or geopolitical tensions. Conversely, during periods of economic stability or growth, the yen may be seen as less attractive and may weaken in value.As for the Australian dollar, it is currently selling at a discount. This is due to a few factors such as the country's high dependency on exports, particularly to China, which has been impacted by the ongoing trade tensions between China and the US. Additionally, the Reserve Bank of Australia has lowered interest rates to record lows in an effort to boost economic growth, which has put pressure on the Australian dollar.Regarding the value of the US dollar, it is difficult to predict its future direction relative to the yen as it also depends on various factors. However, currently, the dollar is relatively strong compared to the yen due to the Federal Reserve's decision to raise interest rates, which makes the dollar more attractive to investors seeking higher yields. Additionally, the ongoing trade tensions between China and the US have also contributed to the dollar's strength as investors seek safe-haven assets such as the dollar.

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.Which type of utility is created when a company makes products available where consumers want them?
A) Time
B) Place
C) Possession
D) Form
E) Operations

Answers

The type of utility created when a company makes products available where consumers want them is Place utility.

The marketing concept of the "Four Ps" refers to the four key elements of a marketing mix: Product, Price, Place, and Promotion. Place, also known as distribution, refers to the process of getting a product from the manufacturer to the customer. By making products available where consumers want them, companies create place utility.

Place utility can be created by having a strong distribution network, convenient store locations, online shopping platforms, and other strategies that ensure that products are available in the right place at the right time. This helps to make the product more accessible and convenient for the customer, and can increase sales and customer satisfaction. Time, Possession, Form, and Operations are other types of utility that can be created through marketing efforts.

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Ruby Red Corporation is incorporated in South Carolina. In that state, Ruby Red is
a. a domestic corporation.
b. a foreign corporation.
c. an alien corporation.
d. a non-entity.

Answers

Ruby Red Corporation is incorporated in South Carolina, therefore it is considered a domestic corporation within the state. A domestic corporation is a business that is registered and operates within the state where it was incorporated.

A foreign corporation, on the other hand, is a business that operates in a state other than where it was incorporated. An alien corporation is a business that is incorporated outside of the United States and operates within the country. Lastly, a non-entity is a term used to describe a business that does not exist or is not recognized by the state. In this case, since Ruby Red is a registered corporation in South Carolina, it is not considered a non-entity.
Ruby Red Corporation, incorporated in South Carolina, is considered a domestic corporation in that state. A domestic corporation is a company that is formed and operates under the laws of the state in which it is incorporated. In this case, Ruby Red Corporation is subject to South Carolina's laws and regulations, making it a domestic corporation within the state.

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an important purpose of lgbtq job fairs is to: group of answer choices ensure that lgbtq employees would be able to seek employment opportunities in settings in which they would be comfortable. isolate lgbtq employees from heterosexual employees. promote homosexuality among heterosexual employees. promote matchmaking among homosexuals in order to further the cause of same-sex marriages.

Answers

An important purpose of LGBTQ job fairs is to ensure that LGBTQ employees would be able to seek employment opportunities in settings in which they would be comfortable.

These job fairs do not aim to isolate LGBTQ employees from heterosexual employees or promote homosexuality among heterosexual employees. Rather, they provide a safe and inclusive space for LGBTQ individuals to explore career options and connect with potential employers who are committed to diversity and inclusion. Additionally, LGBTQ job fairs can also help to promote equal treatment and employment opportunities for all individuals, regardless of their sexual orientation or gender identity, including those in same-sex marriages.

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compute the lost social welfare (deadweight loss) that stems from the $40 price floor.

Answers

To compute the deadweight loss from a $40 price floor, you need to understand the concepts of supply and demand. A price floor is a minimum price set by the government above the equilibrium price, which can lead to a surplus of goods. When a price floor is set at $40, it disrupts the market equilibrium, creating inefficiencies.

The lost social welfare or deadweight loss occurs when resources are not allocated optimally. In this case, the deadweight loss is represented by the area of a triangle formed between the supply curve, the demand curve, and the price floor. To calculate the deadweight loss, you need to know the base and height of this triangle, which would require information on the supply and demand curves.

In conclusion, to compute the deadweight loss, you would need additional information about the market's supply and demand curves. With that information, you can find the base and height of the triangle and calculate the lost social welfare resulting from the $40 price floor.

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suppose you invest $10,000 in boeing (ba) stock, and $30,000 in merck (mrk) stock. you expect a return of 10% for boeing and 16% for merck. what is the expected return for your portfolio?

Answers

The expected return for your portfolio is 14.5%.

To calculate the expected return for your portfolio, you need to find the weighted average of the expected returns of each stock. Here's a step-by-step explanation:
1. Determine the total investment amount: $10,000 (Boeing) + $30,000 (Merck) = $40,000.
2. Calculate the weight of each stock in the portfolio:
  - Boeing weight: $10,000 / $40,000 = 0.25 (25%)
  - Merck weight: $30,000 / $40,000 = 0.75 (75%)
3. Multiply each stock's weight by its expected return:
  - Boeing: 0.25 * 10% = 0.025 (2.5%)
  - Merck: 0.75 * 16% = 0.12 (12%)
4. Add the results from step 3 to find the portfolio's expected return: 2.5% + 12% = 14.5%.
So, the expected return for your portfolio is 14.5%.

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