What was the arithmetic average return for a stock that had the following annual returns over the past 4 years: 18.00% (4 years ago), 20.00% (3 years ago), -17.00% (2 years ago), and -36.00% (last year)?
What is X, the return of a stock 2 years ago, if the stock had returns of -16.00% (4 years ago), 14.00% (3 years ago), X (2 years ago), and 3.22% (last year), and over the past four years, the arithmetic average annual return for the stock was 5.25%?

Answers

Answer 1

The return of the stock 2 years ago was 19.78%.

To find the arithmetic average return for a stock that had the following annual returns over the past 4 years: 18.00% (4 years ago), 20.00% (3 years ago), -17.00% (2 years ago), and -36.00% (last year), we can use the formula:

Arithmetic average return = (Return1 + Return2 + Return3 + Return4) / Number of returns

= (18.00% + 20.00% - 17.00% - 36.00%) / 4

= -3.75%

Therefore, the arithmetic average return for the stock over the past four years is -3.75%.

To find X, the return of a stock 2 years ago, if the stock had returns of -16.00% (4 years ago), 14.00% (3 years ago), X (2 years ago), and 3.22% (last year), and over the past four years, the arithmetic average annual return for the stock was 5.25%, we can use the formula:

Arithmetic average return = (Return1 + Return2 + Return3 + Return4) / Number of returns

5.25% = (-16.00% + 14.00% + X + 3.22%) / 4

21.00% = -16.00% + 14.00% + X + 3.22%

X = 21.00% + 16.00% - 14.00% - 3.22%

X = 19.78%

Therefore, the return of the stock 2 years ago was 19.78%.

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Related Questions

Electronics galore has 950,000 shares of common stock outstanding at a market price of $38 a share. The company also has 40,000 bonds outstanding that are quoted at 106 percent of face value. What weight should be given to the debt when the firm computes its weighted average cost of capital?.

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weight of the debt when Electronics Galore computes its WACC is 0.539, or 53.9%. This means that debt financing makes up 53.9% of the company's total capital structure, while equity financing makes up the remaining 46.1%.

In this case, Electronics Galore has 950,000 shares of common stock outstanding and 40,000 bonds outstanding. The market price of the common stock is $38 per share, and the bonds are quoted at 106 percent of face value. To calculate the weight of the debt, we need to determine the total value of the firm's capital structure.
The total value of the capital structure is calculated as follows:
Total Value = Market Value of Equity + Market Value of Debt
Market Value of Equity = Number of Shares Outstanding x Market Price per Share
Market Value of Equity = 950,000 x $38
Market Value of Equity = $36,100,000
Market Value of Debt = Number of Bonds Outstanding x Quoted Price per Bond
Market Value of Debt = 40,000 x 1.06 x $1,000
Market Value of Debt = $42,400,000
Total Value = $36,100,000 + $42,400,000
Total Value = $78,500,000
Now that we have calculated the total value of the firm's capital structure, we can calculate the weight of the debt:
Weight of Debt = Market Value of Debt / Total Value
Weight of Debt = $42,400,000 / $78,500,000
Weight of Debt = 0.539

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the cost a consumer incurs when moving from one product to another. it can involve actual money spent (e.g., buying a new product) as well as investments in time, any data loss, and so forth.

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The price a customer pays to switch from one product to another. Switching costs can include financial outlays (such as purchasing a new product) as well as time commitments, data loss, and other expenses.

The expenses a consumer incurs as a result of switching brands or goods are known as switching costs. Financial, psychological, effort-based, and time-based switching costs are all possible.

High switching costs and low switching costs are two different categories of switching expenses. There are several names for switching expenses. In the business press, items may be described as "sticky" or as causing "friction." Some people could use the term "lock-in." Switching costs are intimately tied to the idea of staying power.

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Perfectly competitive firms are price takers because:
A) each firm is very large
B) there are no good substitutes for their goods
C) many other firms produce identical products
D) their demand curves are downward sloping

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Perfectly competitive firms are price takers because many other firms produce identical products. Perfectly competitive market: many small firms, identical products, and no barriers to entry or exit. Therefore, Option C is correct.

In a perfectly competitive market, there are many small firms that sell identical products or services, with no barriers to entry or exit. Because there are so many sellers, each firm is a price taker, meaning they have no control over the price of the product or service they sell.

Each firm has to accept the market price as given and adjust their output accordingly. This is because if they try to charge a higher price, customers will simply buy from a competitor instead.

As a result, each firm in a perfectly competitive market faces a horizontal, or perfectly elastic, demand curve, which means that they can sell as much output as they want at the market price.

Because of this, firms have no incentive to charge a higher price than the market price, as they would lose all their customers.

Therefore, perfectly competitive firms are forced to operate at the efficient level of output, where marginal cost equals price, leading to the highest possible level of consumer surplus. Therefore, the correct answer is option C.

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a landlord in a large complex refuses to rent an apartment to anyone who is a college student. does this likely violate the fair housing act

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Yes, this action by the landlord is likely to violate the Fair Housing Act (FHA) of 1968.

The FHA is a federal law that prohibits discrimination in the sale, rental, and financing of housing based on protected characteristics, such as race, color, national origin, religion, sex, familial status, and disability.

College student status is not specifically listed as a protected characteristic under the FHA. However, the policy of refusing to rent to college students may have a disproportionate impact on individuals who are younger than 18 years old, or who are members of a particular race or national origin, or who have a disability, and thus may be considered discriminatory under the FHA.

Moreover, the Department of Housing and Urban Development (HUD) has issued guidance stating that policies that exclude college students or require additional criteria for them to obtain housing may be discriminatory if they have a disparate impact on members of a protected class.

Therefore, it is likely that the landlord's policy of refusing to rent to college students would be considered discriminatory under the FHA, and the landlord could face legal consequences for violating the law.

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have a cell that is the sales price of a given product, the value of which will change to produce the desired solver result in the target cell, this cell is what kind\

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The cell that is the sales price of a given product and changes to produce the desired solver result in the target cell is known as a variable cell or decision variable.

In the context of optimization problems, decision variables are those values that need to be determined in order to optimize the objective function. In this case, the sales price is the variable that needs to be optimized to achieve the desired result in the target cell.

Decision variables are typically denoted by symbols such as x, y, or z, and are subject to certain constraints or limitations. These constraints may be related to resources, capacities, or other factors that limit the values that the decision variables can take.

Optimization problems involving decision variables are often solved using mathematical techniques such as linear programming, nonlinear programming, or integer programming. These techniques involve formulating the problem as a mathematical model, which includes the objective function, decision variables, and constraints.

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A sunscreen company sends out a press release about its limited-edition products which benefit a nonprofit for skin cancer. Which of the following is the best way for the sunscreen company to measure the impact the public relations message had on attitudes toward the company?.

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Measuring attitude levels before and after the campaign is the best way for the sunscreen company to measure the impact the public relations message had on attitudes toward the company.

Managing how people perceive and feel about a person, brand, or business is known as public relations. Public relations is particularly crucial to quell public or investor outrage after unfavorable news disclosures.

Any company's success depends on PR, especially when its shares are traded publicly and each share's value is based on the public's perception of the company or brand. Public relations specialists are typically in charge of building and upholding the business's image in along with responding to press requests, information requests, and shareholder challenges. Though such actions are against the profession's code of morals, occasionally PR professionals willfully attempt to cause damage to a rival brand or company or engage in negative PR.

Therefore, option D is the correct answer.

The complete question is, "A sunscreen company sends out a press release about its limited-edition products which benefit a nonprofit for skin cancer. Which of the following is the best way for the sunscreen company to measure the impact the public relations message had on attitudes toward the company?

A. Asking consumers for relevant feedback after the campaign

B. Counting the number of media exposures

C. Examining discussions about the campaign on social media forums

D. Measuring attitude levels before and after the campaign

E. Performing a content analysis of the message"

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If the fed injects additional reserves into the banking system, why will banks generally want to expand their loans and investments?.

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When the Federal Reserve injects additional reserves into the banking system, it lowers the cost of borrowing for banks.

As a result, banks will want to expand their loans and investments because they can obtain additional funds at a lower cost. This additional liquidity allows banks to increase their lending to customers, which can stimulate economic activity and boost growth. Furthermore, banks make money by lending out the money they have on deposit.

When they have more reserves available, they can increase the amount of money they lend out and charge interest on those loans. This interest income is a major source of revenue for banks, which is why they are incentivized to expand their lending when reserves are injected into the system.

In addition, banks may also use the additional reserves to invest in securities or other financial assets. This can provide additional income for the bank and help diversify their portfolio. Overall, injecting additional reserves into the banking system can stimulate lending and investment activity, which can help promote economic growth.

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OMG Inc. has 4 million shares of common stock outstanding, 3 million shares of preferred stock outstanding, and 5,000 bonds. Suppose the common shares are selling for $27 per share, the preferred shares are selling for $26 per share, and the bonds are selling for 108 percent of par. What weight should you use for debt in the computation of OMG's WACC?

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To compute OMG's WACC, the weight of debt is calculated by dividing the market value of debt by the sum of the market value of equity and debt. The final answer is weight of debt in the computation of OMG's WACC is 3.42%.

First, let's calculate the market value of weight of debt

Market value of debt = 5,000 bonds × 108% of par = $5,400,000

Next, let's calculate the market value of equity:

Market value of equity = 4 million shares × $27 per share + 3 million shares × $26 per share = $150 million

Now, we can calculate the weight of debt:

Weight of debt = Market value of debt / (Market value of debt + Market value of equity)

= $5,400,000 / ($5,400,000 + $150,000,000)

= 0.0342 or 3.42%

Therefore, the weight of debt in the computation of OMG's WACC is 3.42%.

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Governments in Australia and around the world are consideringimplementing a minimum price (aka price floor) on alcohol. Yourtask is to use the Economic way of thinking learnt in this unit toformall

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A price floor on alcohol is an economic policy that sets a minimum price below which alcohol cannot be sold.

When a price floor is implemented, it affects both the supply and demand sides of the market. Here are the step-by-step impacts of a price floor on alcohol:

1. The government sets a minimum price for alcohol that is higher than the current market equilibrium price.

2. As a result, the quantity of alcohol demanded decreases, since some consumers are unwilling or unable to pay the higher price.

3. The quantity of alcohol supplied, on the other hand, may increase, as producers seek to take advantage of the higher price.

4. This leads to a surplus of alcohol in the market, as the quantity supplied exceeds the quantity demanded.

5. Over time, the surplus may be absorbed through various channels, such as government buy-back programs, producers adjusting their production levels, or increased exports to other countries.

6. As the goal of the policy is to reduce alcohol consumption and its negative externalities, the decrease in quantity demanded should ideally lead to improvements in public health and social outcomes.

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conveniently located vending machines around your college or university campus make it easy for you to buy a soda and a snack between classes. this is an example of the element of the marketing mix. group of answer choices production place price profit promotion

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The example of conveniently located vending machines on a college or university campus for easy access to snacks and drinks between classes relates to the element of the marketing mix called "place." Place refers to the distribution and accessibility of products or services for consumers.

Conveniently located vending machines around your college or university campus make it easy for you to buy a soda and a snack between classes. This is an example of the "place" element of the marketing mix. The "place" element refers to the location where the product or service is sold or made available to customers. In this case, the vending machines are strategically placed in areas where students are likely to pass by or stop at between classes, making it convenient for them to purchase a snack or drink.

This is an important aspect of marketing as it ensures that the product is easily accessible to the target market, which can increase sales and customer satisfaction. In conclusion, the placement of vending machines is an important aspect of the marketing mix, and it is an effective way to reach out to the target market by providing a convenient option for purchasing snacks and drinks.

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which of the following is the best predictor of job performance? group of answer choices intelligence test personality trait of conscientiousness years of education reference checks

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Among the options provided, the personality trait of conscientiousness is generally considered the best predictor of job performance.

Conscientiousness is characterized by traits such as dependability, self-discipline, organization, and attention to detail, which are highly valued in many job roles. Research has consistently shown that individuals who score high on conscientiousness tend to be more successful in their careers, perform better on the job, and have higher job satisfaction. While intelligence and education may also be relevant factors in job performance, they are not as consistently predictive across all job roles and industries as conscientiousness.

Reference checks can provide valuable information about a candidate's past performance, but they may be subject to biases and limitations, such as the quality of the reference and the context in which the candidate worked.

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What time can you start construction work in a residential area.

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In a residential area, the time that you can start construction work may vary depending on the local regulations and ordinances in your area.

Generally, construction work is allowed during specific hours of the day, which are typically defined by the local government. In most cases, construction work is allowed to start as early as 7:00 AM and must end by 7:00 PM or 8:00 PM at the latest. These regulations are in place to protect the peace and tranquility of the residential area and to prevent any disturbance to the residents. However, it's important to note that some local governments may have stricter regulations regarding construction work hours. For example, some areas may only allow construction work to be carried out between 8:00 AM and 6:00 PM. In addition, certain types of construction work, such as excavation or demolition, may have even more specific restrictions on when they can be carried out. If you're planning to undertake construction work in a residential area, it's essential to check the local regulations and ordinances beforehand to ensure that you comply with the rules. You can contact your local government offices or building department to find out about the specific regulations and permits required for your project. By doing so, you can avoid any potential fines or legal issues and ensure that your project runs smoothly.

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Which term refers to the act of successfully sharing information between two or more people so that the information is understood?.

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The term that refers to the act of successfully sharing information between two or more people so that the information is understood is communication. Communication can take many forms, including verbal, nonverbal, written, and visual. Effective communication involves not only conveying information accurately, but also ensuring that the recipient of the information understands its meaning and context.

This requires careful attention to the language used, the tone of voice, body language, and other cues that can affect how the information is perceived. Communication is a fundamental aspect of human interaction and is essential for building relationships, sharing ideas, and achieving common goals.


The term that refers to the act of successfully sharing information between two or more people so that the information is understood is "effective communication." This process ensures clear and accurate transmission of information, leading to mutual understanding among the participants.

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How much oil is currently in the strategic petroleum reserve.

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However, as per the latest information available on the U.S. Department of Energy's website, the Strategic Petroleum Reserve currently holds approximately 621 million barrels of crude oil, which is the world's largest emergency oil stockpile. The SPR was established in the 1970s in response to the oil embargo by Arab countries, which led to oil shortages and skyrocketing prices.

The reserve's primary purpose is to provide a reliable source of crude oil to mitigate disruptions in oil supplies caused by natural disasters, conflicts, or other emergencies. The Department of Energy continuously monitors global oil markets and makes decisions on when and how much crude oil to release from the SPR based on various factors, including supply and demand dynamics, geopolitical risks, and economic considerations.
As of October 2021, the Strategic Petroleum Reserve (SPR) in the United States holds approximately 621.3 million barrels of crude oil. Established in 1975, the SPR serves as an emergency stockpile of oil to counteract potential supply disruptions or price spikes. It is the world's largest reserve of its kind, stored in four underground storage facilities along the Gulf Coast. The SPR's capacity is 714 million barrels, meaning it is currently around 87% full.

To access the oil in the reserve, the U.S. government can authorize a release through an emergency drawdown, a test sale, or an exchange. This process ensures that the country has a reliable source of petroleum in case of natural disasters, geopolitical crises, or other events that could affect the supply or price of oil. The SPR has been tapped multiple times throughout its history, most recently in response to Hurricane Ida in 2021.

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The global MNC faces the dual challenge of achieving scale economies through standardization while at the same time responding to
Select one:
a. global economics.
b. local customer differences.
c. increased competition.
d. increased shipping expenses.

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The global MNC faces the dual difficulty of attaining scale economies by standardization while still adapting to local customer differences. The right answer is b.

The trade-off between global integration and local responsiveness is a key issue for managers choosing a global business strategy. Global integration refers to how much a firm can use similar products and practises in various countries. The degree to which a corporation needs modify its goods and operating procedures to accommodate local requirements is known as local responsiveness.

Four fundamental worldwide business strategies are produced by the two dimensions: export, standardisation, multidomestic, and transnational. When a business is primarily concerned with its domestic operations, an export strategy is adopted. When a business approaches the entire world as one market with little to no real variation, it is using a standardisation strategy.

The correct answer is option b.

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what form of analysis do courts employ that is a balancing test to see if the benefits of the company's behavior outweigh the harm of the anticompetitive behavior? multiple choice question. rule-of-reason

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The anticompetitive effects outweigh the benefits, the behavior is deemed illegal and a violation of antitrust law.

The form of analysis that courts employ to balance the benefits of a company's behavior against the harm of anticompetitive behavior is known as the Rule of Reason. Under the Rule of Reason, courts examine the procompetitive and anticompetitive effects of a company's behavior to determine if it violates antitrust law. This involves an analysis of the relevant market, including the market share of the defendant and its competitors, the nature and extent of barriers to entry, and the impact of the behavior on competition in the market.

The Rule of Reason requires a balancing test that weighs the benefits of the challenged behavior against its anticompetitive effects. If the benefits outweigh the harm to competition, the behavior is deemed lawful under the antitrust laws.

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currently andrews is paying a dividend of $20.00 (per share). if this dividend were raised by $3.64, given its current stock price what would be the dividend yield? select : 1 save answer 12.8% $23.64 $3.64 15.2%

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The dividend yield after the increase of $3.64 in the dividend per share would be 15.76%, which is option D in the provided choices.

To calculate the dividend yield, we need to divide the annual dividend per share by the current stock price. Since we are given that the current dividend per share is $20.00, we need to calculate the new dividend per share after the increase of $3.64. This would be $20.00 + $3.64 = $23.64.

Next, we need to know the current stock price of Andrews to calculate the dividend yield. Let's assume the current stock price is $150.00 per share.

Using the formula for dividend yield, we get:

Dividend Yield = (Annual Dividend per Share / Stock Price) x 100%

Dividend Yield = ($23.64 / $150.00) x 100%

Dividend Yield = 0.1576 x 100%

Dividend Yield = 15.76%

Option D.

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Saginaw Inc. completed its first year of operations with a pretax loss of $500,000. The tax return showed a net operating loss of $600,000 that the company will carry forward. The $100,000 book-tax difference results from excess tax depreciation over book depreciation. Management has determined that they should record a valuation allowance equal to the net deferred tax asset. Assume the current tax expense is zero.
a. Prepare the journal entry to record the deferred tax provision and the valuation allowance.
b. Prepare the journal entry to record the deferred tax consequences for recognition of the current year NOL before considering the valuation allowance.

Answers

To record deferred tax benefit for the NOL carryforward. Note that the income tax benefit is recognized in the same amount as the deferred tax asset, since there is no current tax expense. The valuation allowance is not considered in this entry, as the NOL carryforward is being recognized without it.

a. Journal entry to record the deferred tax provision and valuation allowance:

Deferred Tax Asset (NOL Carryforward) $210,000 ($600,000 x 35%)

Valuation Allowance $210,000

To record deferred tax provision and valuation allowance.

b. Journal entry to record the deferred tax consequences for recognition of the current year NOL before considering the valuation allowance:

Income Tax Benefit (NOL Carryforward) $210,000 ($600,000 x 35%)

Deferred Tax Asset (NOL Carryforward) $210,000

To record deferred tax benefit for the NOL carryforward. Note that the income tax benefit is recognized in the same amount as the deferred tax asset, since there is no current tax expense. The valuation allowance is not considered in this entry, as the NOL carryforward is being recognized without it.

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what does the characteristic line for a security show? multiple choice question. it shows the market's return in relation to the risk of an individual security. it shows the return on a security in relation to the risk of the security. it shows a security's return in relation to the market's return. it shows a security's variance of returns.

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The security market line (SML) shows that the relationship between a security's expected return and its beta is positive.

It is a graphical representation of the Capital Asset Pricing Model (CAPM) and is used to determine whether a security is underpriced or overpriced in the market. The characteristic line plots a security's expected return on the vertical axis and the systematic risk (beta) of the security on the horizontal axis.

The slope of the line represents the market risk premium, and each point on the line represents a different combination of risk and expected return. The characteristic line for a security shows the relationship between the expected return of a security and its systematic risk in relation to the market as a whole.

The security market line (SML), also referred to as the "characteristic line," is a representation of the CAPM where the y-axis of the chart represents predicted return, and the x-axis represents risk (measured in terms of beta). Where a security is plotted on the chart in relation to the security market line (SML) will determine the market risk premium of that asset.

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your firm purchases goods from its supplier on terms of 1/10, net 30. the effective annual cost to your firm if it chooses not to take advantage of the trade discount offered is closest to: 13.0% 16.8% 44.6% 20.1%

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The effective annual cost to the firm, if it chooses not to take advantage of the trade discount offered, is 20.1%.

Effective Annual Cost = [(1 + Discount % / (1 - Discount %)]^[365 / (Days of Credit - Discount Period)] - 1

Effective Annual Cost = [(1 + 0.1 / (1 - 0.1)][tex]^[365[/tex] / (30 - 10)] - 1

Effective Annual Cost = [(1.1 / 0.9)[tex]]^[365[/tex] / 20] - 1

Effective Annual Cost = (1.222222)[tex]^18.25[/tex] - 1

Effective Annual Cost = 0.20094 or 20.1%

Discount is a reduction in the price of a product or service that is offered to customers. It can be a percentage or a fixed amount that is subtracted from the original price. Discounts are a common marketing strategy used by businesses to attract customers and increase sales.

There are various types of discounts that businesses can offer, including seasonal discounts, promotional discounts, loyalty discounts, and volume discounts. Seasonal discounts are offered during specific times of the year, such as holidays or clearance sales. Promotional discounts are used to promote new products or to attract new customers. Loyalty discounts are offered to customers who have been with the business for a long time, while volume discounts are given to customers who purchase in large quantities.

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Which of these policies is most likely to lead to individual competition among Compu-Globo's new hires? a. Profit sharing b. Merit pay c. Skill based

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These policies is most likely to lead to individual competition among Compu-Globo's new hires is  Merit pay

1. Merit pay and incentive pay both serve the purpose of rewarding certain employees for their work performance.

2. All employees, however, may also get incentive pay as a group incentive for achieving certain business objectives.

3. A sort of incentive programme called a profit-sharing plan involves companies paying staff directly or indirectly.

4. Employees are explicitly given a share in a company's profits when employers combine profits into a contribution fund, which they then distribute to all employees in accordance with a predetermined formula.

5. Merit pay is a method of rewarding employees with pay raises and incentives based on their individual achievement rather than their age or the quantity of hours they put in.

The use of a merit pay system in human resources inside a corporation has a number of advantages.

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portfolio a is a well-diversified portfolio that is equally-weighted among 12,000 different and diverse stocks. portfolio a has an average amount of systematic risk, so it has exactly the same amount of systematic risk as the market portfolio. portfolio b consists of 2 stocks that operate in the active leisure industry: 3,687 shares of treetop entertainment stock, which has a price of $13.00 per share and a beta of 1.10; and 1,683 shares of garfield recreational stock, which has a price of $4.70 per share and a beta of 1.00. all stocks have some unsystematic risk and all stocks have the same level of unsystematic risk. which one of the following assertions is most likely to be true? portfolio a has more systematic risk than portfolio b, and portfolio a more unsystematic risk than portfolio b portfolio b has more systematic risk than portfolio a, and portfolio b has more unsystematic risk than portfolio a portfolio a has more systematic risk than portfolio b, and portfolio b has more unsystematic risk than portfolio a portfolio b has more systematic risk than portfolio a, and portfolio a has more unsystematic risk than portfolio b portfolio a either has the same amount of systematic risk as portfolio b or portfolio a has the same amount of unsystematic risk as portfolio b, or portfolio a has the same amount of systematic risk and unsystematic risk as portfolio b

Answers

The assertion that is most likely to be true is portfolio b has more systematic risk than portfolio a, and portfolio a has more unsystematic risk than portfolio b, option D is correct.

Portfolio A is a well-diversified portfolio with 12,000 different and diverse stocks, and its systematic risk is the same as the market portfolio. Therefore, it has average systematic risk, which is lower than the systematic risk of a concentrated portfolio like Portfolio B. Portfolio B, on the other hand, consists of only two stocks from the active leisure industry, which is a concentrated portfolio.

This concentration exposes Portfolio B to higher systematic risk than Portfolio A. Moreover, both stocks in Portfolio B have some unsystematic risk, and since they have the same level of unsystematic risk, the unsystematic risk of Portfolio B is lower than that of Portfolio A, option D is correct.

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The correct question is:

Portfolio a is a well-diversified portfolio that is equally weighted among 12,000 different and diverse stocks. portfolio a has an average amount of systematic risk, so it has exactly the same amount of systematic risk as the market portfolio. Portfolio b consists of 2 stocks that operate in the active leisure industry: 3,687 shares of Treetop entertainment stock, which has a price of $13.00 per share and a beta of 1.10; and 1,683 shares of Garfield recreational stock, which has a price of $4.70 per share and a beta of 1.00. all stocks have some unsystematic risk and all stocks have the same level of unsystematic risk. which one of the following assertions is most likely to be true?

A) portfolio a has more systematic risk than portfolio b, and portfolio a more unsystematic risk than portfolio b

B) portfolio b has more systematic risk than portfolio a, and portfolio b has more unsystematic risk than portfolio a

C) portfolio a has more systematic risk than portfolio b, and portfolio b has more unsystematic risk than portfolio a

D) portfolio b has more systematic risk than portfolio a, and portfolio a has more unsystematic risk than portfolio b

D) portfolio a either has the same amount of systematic risk as portfolio b or portfolio a has the same amount of unsystematic risk as portfolio b

E) portfolio a has the same amount of systematic risk and unsystematic risk as portfolio b

The aggregate ____ curve shows the quantity of goods and services that firms produce and sell at each price level.

Answers

The aggregate supply curve shows the quantity of goods and services that firms produce and sell at each price level. The upward slope of the curve results from enterprises' incentives to produce more as prices rise.

In order to satisfy consumer demand and enhance profits. The short-term aggregate supply curve is essentially flat because fixed resources like labour and capital restrict businesses'.

Capacity to quickly boost production on the other hand, when enterprises have more time to alter their output levels and add resources, the aggregate supply curve becomes steeper over time. The aggregate supply curve may be shifted by economic changes like those in technology, input costs, or governmental policy. For instance, technological advances can boost business productivity, which would cause the aggregate supply curve to shift to the right.

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The aggregate ____ curve shows the quantity of goods and services that firms produce and sell at each price level of the demand curve?

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FILL IN THE BLANK. A firm's _____ determines how the work efforts of individuals and teams are orchestrated and how resources are distributed.A. controlB. structureC. normD. culture

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A firm's structure is the framework that outlines the relationships among the different roles, functions, and positions within the organization. The correct answer is B. structure.

It determines how tasks are divided and how communication and decision-making are coordinated. The structure also determines how resources are allocated and how the work efforts of individuals and teams are coordinated to achieve the organization's goals.

Control refers to the process of monitoring and regulating the organization's activities to ensure that they align with its objectives. Norms are the informal rules and expectations that guide behavior within an organization. Culture refers to the shared values, beliefs, and practices that shape the behavior of individuals and groups within an organization

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When determining if there is evidence of a linear relationship between variables, OLS estimators must be ______ for the test to be valid.

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When determining if there is evidence of a linear relationship between variables, OLS (Ordinary Least Squares) estimators must be unbiased and efficient for the test to be valid.

OLS stands for "Ordinary Least Squares," and it is a statistical method used to estimate the parameters of a linear regression model. The goal of OLS is to find the best-fit line that minimizes the sum of squared residuals between the actual values of the dependent variable and the predicted values of the dependent variable.

In OLS, the dependent variable is regressed on one or more independent variables. The OLS method calculates the values of the regression coefficients, which represent the estimated relationship between the dependent variable and the independent variable(s). The regression coefficients can be used to make predictions about the dependent variable based on the independent variable(s).

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a particular task with a 5 day duration in a project cost $32000 for reducing its duration to 3 days. the rate of crashing for this task would then be:

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The rate of crashing for the task would be $10667 per day ($32000 cost reduction divided by 2 days reduction in duration).

Crashing a project task involves compressing its schedule in order to complete it earlier than planned. This can be done by adding more resources to the task or by reducing the scope of the task. In this case, reducing the duration of the task from 5 days to 3 days would require additional resources to be allocated to the task, resulting in an increase in cost. The cost of crashing the task can be calculated by dividing the cost of the task reduction by the number of days reduced. Therefore, the rate of crashing for this task would be $10667 per day ($32000 cost reduction divided by 2 days reduction in duration).

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if the marginal propensity to consume is 0.75, how much will the government have to spend to close the gap

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The government would need to spend $400 billion to close the gap if the MPC is 0.75.

To calculate how much the government would have to spend to close the gap, we first need to understand the concept of the marginal propensity to consume (MPC). The MPC is the fraction of each additional dollar of income that a consumer will spend on goods and services. In this case, the MPC is 0.75, which means that for every additional dollar of income, the consumer will spend 75 cents and save 25 cents.

To close the gap, the government would need to spend enough money to increase aggregate demand by the amount necessary to close the gap. This would depend on the size of the gap and other economic factors, but as a general rule, we can use the formula:
Change in GDP = Change in government spending / (1 - MPC)

If we assume that the gap is $100 billion, we can plug in the numbers:
100 billion = Change in government spending / (1 - 0.75)


Solving for Change in government spending, we get:
Change in government spending = 100 billion / (1 - 0.75) = 400 billion

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Which of the following correctly shows the relationship between savings, the government budget balance, and the current account?
A) S + CA = I + (T - G)
B) S + CA = I + (T + G)
C) S + (T - G) = I + CA
D) S + (T + G) = I + CA

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The national income accounting identity must include the current account balance to account for this international flow. The correct answer is option D: S + (T + G) = I + CA.

This equation represents the national income accounting identity, which states that total national savings (S) plus the government budget balance (T + G) equals total domestic investment (I) plus the current account balance (CA).

The government budget balance is equal to total government revenue (T) minus total government expenditure (G). Therefore, (T + G) represents the total government deficit or surplus.

In a closed economy (i.e., one without international trade), the current account balance is zero, and the national income accounting identity reduces to S = I - (T - G), which shows that savings must equal domestic investment minus the government budget deficit.

However, in an open economy with international trade, the current account balance (CA) represents the net flow of goods, services, and capital between a country and the rest of the world. Thus, the national income accounting identity must include the current account balance to account for this international flow.

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a machine with a cost of $160,000, accumulated depreciation of $100,000, and current year depreciation expense of $24,500 is sold for $52,000 cash. the amount that should be reported as a source of cash under cash flows from investing activities is:

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The amount that should be reported as a source of cash under cash flows from investing activities for the machine sold is $52,000. This is because the machine was sold for $52,000 cash, which represents the inflow of cash from the sale. The sale of the machine represents a disposal of a long-term asset and should be reported as a cash inflow under cash flows from investing activities in the statement of cash flows.

To calculate the amount of cash inflow, we need to determine the machine's carrying value or book value at the time of sale. The carrying value is calculated by subtracting the accumulated depreciation from the cost of the machine:
Carrying value = Cost - Accumulated depreciation
Carrying value = $160,000 - $100,000
Carrying value = $60,000
Cash inflow = Cash received + Loss on disposal
Cash inflow = $52,000 - Loss on disposal
Loss on disposal = Carrying value - Proceeds from sale
Loss on disposal = $60,000 - $52,000
Loss on disposal = $8,000
Cash inflow = $52,000 - $8,000
Cash inflow = $44,000

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when shares of stock that were issued to the public are later bought and sold among investors on the stock exchange, the issuing corporation _____.

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When shares of stock that were issued to the public are later bought and sold among investors on the stock exchange,the issuing corporation has offered initial public offering.

An initial public offering (IPO) is when a firm issues common stock or shares to the general public for the first time. They may be issued by large privately held corporations looking to go public as well as smaller, more agile, and younger businesses seeking funding for expansion.

As an illustration of a securities offered on a main market, think about an initial public offering, also referred to as an IPO. A private company selling its stock is known as an initial public offering, or IPO.

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