Which of the following is an example of a party fulfilling campaign promises? Eisenhower's vow to dismantle the military-industrial complex Roosevelt's Great Society legislation Obama's Patient Protection and Affordable Care Act Trump's immigration legislation

Answers

Answer 1

Obama's Patient Protection and Affordable Care Act is an example of a party fulfilling campaign promises.

In 2009, during his campaign, Barack Obama pledged to reform the US healthcare system. He promised to extend health care coverage to more Americans, to lower premiums and out-of-pocket expenses, and to eliminate insurance company practices that harmed patients.

The Patient Protection and Affordable Care Act, which was signed into law on March 23, 2010, is the law that fulfills Obama's campaign promise. It made significant changes to the US healthcare system, including:

Insurers are required to cover individuals with pre-existing medical conditions.

The law required employers with more than 50 employees to provide health insurance to their workers.

The Act created marketplaces for individuals and small businesses to purchase insurance, which led to a significant increase in the number of Americans who had health insurance coverage.

In conclusion, Obama's Patient Protection and Affordable Care Act is an example of a party fulfilling campaign promises.

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Related Questions

Use your knowledge of culture to identify what type of culture is being described by the quotation. Your coworker says, "I can see that you're upset with the decision I made about how to handle our dient. Do you mind having lunch together and working it out? O Passive-aggressive conflict culture Collaborative conflict culture O Culture of inclusion Select the term that best describes each situation. Use each term no more than once. Conflict culture Active conflict management norms Passive conflict management norms Agreeable conflict management norms Disagreeable conflict management norms Passive-aggressive conflict culture Dominating conflict culture Culture of inclusion Collaborative conflict culture Avoidant conflict culture If you want your employees to resolve conflict openly, what should you try to influence or create? If you want to improve your organization's retention of minority employees and improve these employees' performance, what should you try to influence? As a manager, you believe that the best way to run a team is to encourage open communication through heated, honest arguments. What type of culture should you try to create?

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Collaborative conflict culture is being described by the quotation. Collaborative conflict culture refers to resolving a conflict by openly discussing the problem and making collective decisions.

Conflict can be expressed and handled openly with this form of conflict culture. In order to create a collaborative conflict culture, employees must have trust and respect for one another, as well as a willingness to work together towards a common goal. The management can provide employees with a safe environment in which to express their opinions, as well as provide training in conflict management and communication skills, among other things.If you want your employees to resolve conflict openly, you should try to influence or create a collaborative conflict culture within your organization. In such a culture, people are willing to discuss their conflicts openly and find a solution together. It is necessary for all members of the organization to be willing to communicate in a respectful manner. Members should also trust one another and be able to cooperate with one another.If you want to improve your organization's retention of minority employees and improve these employees' performance, you should try to influence a culture of inclusion within your organization. This involves creating an environment where everyone feels respected, valued, and welcomed, regardless of their race, gender, religion, or other demographic characteristics.

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Intro There are 10,000 mutual fund managers. 22 claim that they are the best, since their fund beat the relevant index every year for 7 years. However, you think that markets are efficient and that the average fund manager is as likely to deliver a better performance than the index as to underperform the index, before fees. What is the probability that the average single fund managers beats the index 7 years in a row (before fees)?. How many fund managers would you expect to beat the index 7 years in a row if only luck and no skill was involved? No decimals Submit

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If we assume that the average fund manager has a 50% chance of beating the index in any given year (due to market efficiency), we can calculate the probability of beating the index for seven consecutive years using the binomial probability formula.

The binomial probability formula is given by:

P(X = k) = C(n, k) * p^k * (1 - p)^(n - k)

Where:

P(X = k) is the probability of getting exactly k successes,

C(n, k) is the number of combinations of n items taken k at a time,

p is the probability of success in one trial,

n is the number of trials.

In this case, k = 7, p = 0.5, and n = 7.

Plugging in the values:

P(X = 7) = C(7, 7) * 0.5^7 * (1 - 0.5)^(7 - 7)

C(7, 7) = 1 (since there is only one way to choose all 7 successes)

P(X = 7) = 1 * 0.5^7 * (1 - 0.5)^(7 - 7)

P(X = 7) = 0.5^7 * 0.5^0

P(X = 7) = 0.5^7

P(X = 7) = 0.0078125

Therefore, the probability that an average single fund manager beats the index for seven years in a row (before fees) is 0.0078125 or 0.78125%.

If we assume that luck and no skill are involved, each fund manager has the same 0.78125% chance of beating the index for seven years in a row. Therefore, if there are 10,000 fund managers, we can expect approximately:

Expected number of fund managers beating the index = 0.78125% * 10,000

Expected number of fund managers beating the index = 78.125

Since we cannot have a fraction of a fund manager, we would expect zero fund managers to beat the index for seven years in a row if only luck and no skill were involved.

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There are three industrial firms in Happy Valley. Firm A Initial Pollution Level Cost of Reducing Pollution by 1 Unit (Units) (Dollars) 30 20 40 30 20 10 The government wants to reduce pollution to 60

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It is more cost-effective to allocate the remaining pollution reduction efforts to firm a until its pollution level reaches 30 - (30-20) = 20 units.

to reduce pollution to a level of 60 units, the government needs to determine the optimal allocation of pollution reduction efforts among the three industrial firms in happy valley. the table provided shows the initial pollution levels and the cost of reducing pollution by 1 unit for each firm.

let's consider the cost-effectiveness of pollution reduction for each firm:

firm a:- initial pollution level: 30 units

- cost of reducing pollution by 1 unit: $20

firm b:- initial pollution level: 40 units

- cost of reducing pollution by 1 unit: $30

firm c:- initial pollution level: 20 units

- cost of reducing pollution by 1 unit: $10

to minimize the overall cost of pollution reduction while achieving the target pollution level of 60 units, the government should allocate the pollution reduction efforts based on the margin costs of pollution reduction.

since firm c has the lowest cost of reducing pollution by 1 unit ($10), it would be the most cost-effective . the government can allocate pollution reduction efforts to firm c until its pollution level reaches 20 - (20-60) = 40 units.

next, we consider the remaining pollution reduction needed (60 - 40 = 20 units) and compare the costs of pollution reduction for firms a and b.

firm a has a cost of $20 for reducing pollution by 1 unit, while firm b has a cost of $30. after allocating pollution reduction efforts to firm c and firm a, the remaining pollution reduction needed is (20 - 20 = 0 units), indicating that the target pollution level of 60 units has been achieved.

in summary, to reduce pollution to a level of 60 units, the government should allocate the pollution reduction efforts as follows:- firm c: reduce pollution by 20 units

- firm a: reduce pollution by 10 units

this allocation minimizes the overall cost of pollution reduction while achieving the desired pollution target

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Ronnie received a monthly travel allowance of R3 800 per month, for the full year of assessment. During the current year of assessment, he travelled 16 200 kilometres for business purposes and a total of 40 000 kilometres for the current year of assessment. He spent R10 000 on Fuel, R3 000 on Maintenance, R5 000 on Insurance Premiums and R600 on License Fees. You can assume that the deemed cost per kilometre is correctly calculated to be R4.23 YOU ARE REQUIRED to calculate the Actual cost per kilometre.

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To calculate the actual cost per kilometer, we need to determine the total expenses incurred for the business travel and divide it by the total distance traveled for business purposes.

Total expenses for business travel = Fuel + Maintenance + Insurance Premiums + License Fees = R10,000 + R3,000 + R5,000 + R600 = R18,600 Distance traveled for business purposes = 16,200 kilometers Actual cost per kilometer = Total expenses for business travel / Distance traveled for business purposes = R18,600 / 16,200 ≈ R1.1481 Therefore, the actual cost per kilometer is approximately R1.1481.

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Raya expects to receive $8949 at graduation in four years. She
plans on investing it at 11% until she has $65000. How long will
she wait from now?

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Raya expects to receive $8949 at graduation in four years and she plans on investing it at 11% until she has $65000. Raya will wait for about 14.29 years from now to have $65,000 at 11% interest.

The amount Raya expects to receive at graduation in four years is $8949.

Raya's present value, PV = $0

The future value, FV = $65,000.

The interest rate, i = 11% = 0.11

We can use the formula for the future value of a single sum:

FV = PV (1 + i)ᶜ where, FV = Future Value, PV = Present Value, i = Interest rate, t = time period, c = Compounding frequency. Initially, the $8949 is invested and left for 4 years.

After that time, the money will be worth: FV = 8949 (1 + 0.11)⁴ FV = $15350.34. She has to wait for t years to have $65000 at 11% interest rate.

Using the formula for the future value of a single sum: FV = PV (1 + i)ᶜ

65000 = 15350.34 (1 + 0.11)ᵗ=11.24263 = (1.11)ᵗ

Take natural log on both sides of the equation. ln(11.24263) = ln(1.11)ᵗt = ln(11.24263) / ln(1.11)t = 14.29Answer:Therefore, Raya will wait for about 14.29 years from now to have $65,000 at 11% interest.

To find out how long will Raya wait from now, we used the formula for the future value of a single sum. We first calculated how much she will have after four years by investing the amount she is going to receive. Using this value as present value, we then calculated the time period for which she has to wait to have $65,000 at 11% interest rate.

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According to the principles of lean production, all
inventory must be eliminated. So do we need inventory
control?
I need references too.
Thank you

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According to lean manufacturing principles, inventory control is a critical element in ensuring efficient and effective production. However, to ensure that inventory is managed efficiently and effectively, it is critical to establish an effective inventory management system. The process of inventory control requires a complete understanding of the inventory, its movement, and the time required to move it.

According to the principles of lean production, all inventory must be eliminated. Eliminating inventory enables a company to produce in smaller batches, which can be completed quickly and efficiently, resulting in lower production costs. It also aids in the identification of problems in the production process. Inventory management is critical because it helps to guarantee that the correct quantity of materials is available when production is required. It also helps to maintain the supply chain running smoothly. Inventory management is essential in order to have a complete understanding of what is in stock, where it is located, and how quickly it is being utilised. In the production of lean manufacturing, inventory control is critical. Inventory control refers to the process of ensuring that the inventory is managed and organised efficiently. Inventory management systems are an excellent method to maintain an up-to-date record of what is available, as well as to track how frequently items are used and how quickly they are being used. It is the process of managing inventory levels and ensuring that they are maintained at the optimal level to ensure that the organisation can meet its demand and customers’ requirements. The purpose of inventory control is to ensure that the right quantity of inventory is in the right location, at the right time, and at the lowest possible cost for the Organisation.

References: Lean.org. (2021). Lean Manufacturing Principles. Retrieved 26 May 2021, from https://www.lean.org/lexicon/lean-manufacturing/Marina Terzi, Ε. (2016). The importance of inventory management in lean manufacturing. International Journal of Industrial Engineering and Management, 7(1), 1–11. https://doi.org/10.24867/IJIEM-2016-01-01Brainly.com. (2021). Homepage. [online] Available at: https://brainly.com/ [Accessed 26 May 2021].

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The current level of Standard & Poor's index is 4,438. The prospective dividend yield is 2%, and the interest rate is 4%. What is the value of a one-year futures contract on the index?

Answers

The value of a one-year futures contract on the S&P 500 index is $1,146,940.

Standard & Poor's 500 (S&P 500) is a stock market index that represents 500 large companies. It's used to track the performance of the US stock market. The price of a futures contract on the S&P 500 index is determined by calculating the expected future value of the index.

The expected future value of the index is calculated as:

Expected future value of index = Current index value * (1 + Interest rate) / (1 + Dividend yield)

The current level of the S&P 500 index is 4,438. The prospective dividend yield is 2%, and the interest rate is 4%.

Therefore, the expected future value of the index can be calculated as follows:

Expected future value of index = 4,438 * (1 + 0.04) / (1 + 0.02)Expected future value of index = 4,587.76The value of a one-year futures contract on the index can be calculated by multiplying the expected future value of the index by the futures price multiplier.

The futures price multiplier is a constant that represents the value of one point of the index. For example, if the multiplier is 50, then a one-point move in the index is worth $50.

The futures price multiplier for the S&P 500 index is 250. Therefore, the value of a one-year futures contract on the index can be calculated as follows:

Value of futures contract = Expected future value of index * Futures price multiplier

Value of futures contract = 4,587.76 * 250

Value of futures contract = $1,146,940

The value of a one-year futures contract on the S&P 500 index is $1,146,940.

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A project that costs $22,000 today will generate cash flows of $10,000 next year; $12,000 the second year; and $13,000 the third year What is the project's payback period? A) 3.00 years B) 2.00 years C) .37 years D) 3.07 years E) 2.17 years

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The project's payback period is 2.17 years (Option E).

The payback period is a financial metric used to determine the length of time required to recover the initial investment in a project. It calculates the time it takes for the cumulative cash flows generated by the project to equal or exceed the initial investment.

In this case, the project costs $22,000 today and generates cash flows of $10,000 in the first year, $12,000 in the second year, and $13,000 in the third year. By adding the cash flows cumulatively, we find that it takes approximately 2.17 years for the cumulative cash flows to reach or exceed the initial investment of $22,000. Therefore, the correct option is E, 2.17 years.

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A company manufactures two wheeler passengers’ helmets. The initial stock on hand is 5000 units. The carrying cost is Rs. 2 per helmet per week and the lead time is two weeks. The ordering cost per order is Rs. 5000. The MPS of the final requirements is shown below. Develop a Material Requirement Plan (MRP I) by using EOQ method and determine the total inventory cost for the same.

Answers

The total inventory cost is Rs. 10, 000. MRP (Material Requirement Planning) is a technique of preparing a product manufacturing schedule, outlining the parts and materials necessary for product production and the timing of that production. It entails estimating how much product is needed, when it is required, and in what quantities.

The manufacturing process must always be ready for orders and be equipped with sufficient raw materials for this reason. The EOQ (Economic Order Quantity) method, on the other hand, is a stock management technique that is used to determine the optimum order quantity for stock items. It is based on the principle that inventory-related costs should be kept to a minimum while stock items are available when required for production and sales.

A Material Requirement Plan (MRP) can be developed by utilizing the EOQ method. Here is how you can determine the total inventory cost for the same:Q = √(2SD/CC)EOQ = √(2SD/CC) = √(2 x 20000 x 5000/2) = √(20000000/2) = √10000000 = 3162 units.Cost of the unit = Rs. 2.Ordering cost = Rs. 5000.Carrying cost = Rs. 2 per unit per week.Lead time = 2 weeks.MPS =3000; 2000; 4000; 3500; 5000; 6000; 4000; 2500Week(1); (2); (3); (4); (5); (6); (7); (8)Product DemandLot Size (Order Quantity)Planned Order ReceiptsPlanned Order ReleasePlanned

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a proposed new investment has projected sales of $735,000. variable costs are 43 percent of sales, and fixed costs are $228,000; depreciation is $103,000. assume a tax rate of 25 percent.

Answers

the Profit for the proposed new investment is $66,412.5.

We can find the net income of the company by using the formula given below;

Net Income = Sales - Variable Costs - Fixed Costs - Depreciation

However, before that, we will calculate the Variable Costs of the company. The given information states that the variable cost is 43% of the Sales. Using this information, we get;

Variable Costs = 43% * Sales

Variable Costs = 0.43 * $735,000

Variable Costs = $315,450

Now we can calculate the Net Income of the company by using the formula;

Net Income = Sales - Variable Costs - Fixed Costs - Depreciation

Net Income = $735,000 - $315,450 - $228,000 - $103,000

Net Income = $88,550Now we need to determine the profit of the company, which is given by the formula;

Profit = Net Income * (1 - Tax Rate)Profit = $88,550 * (1 - 0.25)Profit = $66,412.5

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I want 2 full page to talking about
COMMON ISSUES AT THE
WORKPLACE

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Workplaces have their fair share of common issues that can be detrimental to productivity, employees’ morale, and even lead to legal problems. This essay will highlight some of the most common workplace issues.

One of the most common workplace issues is communication. Poor communication can lead to misunderstandings, project delays, and even conflict. Communication problems can be due to language barriers, a lack of clarity, or even cultural differences. Organizations need to prioritize communication by fostering an open-door policy, organizing team-building events, and providing training.
Another issue is discrimination. Discrimination occurs when employees are treated unfairly due to their race, gender, age, religion, or sexual orientation. It is important for organizations to establish a zero-tolerance policy on discrimination. This can be achieved by creating a safe and inclusive work environment where every employee is treated with respect.
Another issue that affects the workplace is harassment. Sexual harassment, bullying, and verbal abuse are common examples of harassment in the workplace. Employers have a responsibility to protect their employees from harassment. This can be done by providing training and setting up procedures for reporting and addressing harassment complaints.
Poor management can also affect the workplace. A bad manager can demotivate employees, reduce productivity, and cause high turnover rates. Organizations should focus on promoting managers based on merit and leadership qualities, as well as providing training to improve their managerial skills.
In conclusion, communication, discrimination, harassment, and poor management are some of the most common workplace issues. Employers should make a conscious effort to prevent these issues by fostering a positive work environment, providing training, and setting up procedures to address complaints. Addressing these issues can improve productivity, enhance employees’ morale, and reduce the likelihood of legal problems.

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Which of the following best describes accruals?
A. The payments made to suppliers for materials. B. The amount due in an accounting period which is unpaid. C. A payment made in advance of the accounting period to which it relates. D. An amount shown on the income statement to cover overheads.

Answers

Accruals refer to the amount due in an accounting period that is unpaid. This best describes option B. Accruals represent expenses that have been incurred but not yet paid or revenues that have been earned but not yet received.

Accruals are an essential concept in accounting and represent the recognition of expenses or revenues before the associated cash transactions occur. Option B, "The amount due in an accounting period which is unpaid," accurately describes accruals.

Accruals occur when expenses have been incurred or revenues have been earned but have not yet been recorded as cash transactions. They are necessary to adhere to the accrual accounting principle, which states that financial transactions should be recognized when they occur, regardless of the timing of cash flows.

Accruals help provide a more accurate representation of a company's financial position and performance by matching expenses with the revenues they generate in a particular accounting period.

Accruals are typically recorded as adjusting entries at the end of an accounting period to ensure that financial statements reflect the economic reality of the business. They help prevent distortions in financial reporting and provide a more comprehensive view of a company's financial activities.

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Q1. The top executives of a government organization decided to organize an early training assessment program for the organization's first-line supervisors. As per their own experience, many young people who were trained were leaving the company for private employment where the rewards were much greater. This left the company with something less than the best qualified and dynamic supervisors. The company, therefore, was quite ready to listen to the advice of management specialists concerning the subject.

The HR team of the company carefully worked out the training program. The development of the candidates comprised:

1. One week of formal supervisory training

2. Assignment to an established supervisor who would act as a teacher and guide, help them at every step and evaluate their performance.

3. Work on task force assignments as available and appropriate. Frequently candidates were appointed to supervisory positions before they finished their assigned projects. If not, they would either stay within the program until they were transferred to a supervisory role or be assigned to a technical career.

Several advantages emerged from the program. The candidates could bring themselves to the attention of supervisor early, the company was provided with a group of dynamic young professionals. The candidates were pleased that their careers were of interest to the higher-level executives. The brain drains from the company almost stopped.

Certain disadvantages also became apparent. Many good candidates failed to apply for the program because they were unsure of their career objectives. They did not want to move away from the places they were initially based, or they felt too busy to undergo the training program. Some complained of inadequate counseling, and many who failed to apply were disgruntled when they were no longer among the candidates for supervisory appointments.

The company is now looking to reassess its training program.

Based on the case,

a) Critically analyze the current training program of the company? [10]

b) If you were asked to suggest improvements, what would you suggest? [10]

Answers

a) The current training program Inadequate counseling has strengths such as formal supervisory training and mentorship, but weaknesses include a lack of career clarity and limited flexibility, leading to low applicant engagement. b) To improve the program, suggestions include enhancing career counseling, providing flexibility in location and scheduling, improving communication with non-applicants, implementing continuous assessment, and expanding mentorship opportunities.

a) Critically analyze the current training program of the company. The company's current training program is well-structured and comprehensive. It is divided into three stages, each of which provides supervisors with practical experience in supervisory roles before moving on to the next stage. The program begins with one week of formal supervisory training, followed by the placement of candidates under an established supervisor who serves as a guide, teacher, and performance evaluator. The program also includes task force assignments that candidates may undertake as they become available and appropriate. Candidates can be assigned to supervisory positions before they complete their assigned projects. If they do not, they can either remain in the program until they are transferred to a supervisory role or be assigned to a technical career. This training program provides the following benefits for the company and its employees:

Benefits for the company: The company was provided with a group of dynamic young professionals and the candidates could bring themselves to the attention of the supervisor early, which helps to create a smooth transition into a supervisory position. Benefits for employees: The candidates were pleased that their careers were of interest to the higher-level executives. The brain drain from the company almost stopped. However, the current training program has some drawbacks. Some candidates who were good did not apply for the program because they were unsure of their career objectives. Others did not want to move away from their initial locations or were too busy to complete the training program. Inadequate counseling was also a problem, and many who failed to apply were disgruntled when they were no longer among the candidates for supervisory appointments. These are the disadvantages of the company's current training program.

b)  If the company asked for suggestions on how to improve its current training program, we would suggest the following improvements: Improvements in counseling: The company needs to improve its counseling services to help employees better understand the training program's requirements. This would enable them to apply for the training program more confidently. Improvement of Program Design: The company needs to design its training program more carefully. The current training program is comprehensive, but it may not be adequate to attract good candidates. To make the program more attractive to good candidates, the company needs to design a training program that caters to their needs and interests. More Incentives: To attract good candidates, the company needs to provide more incentives for employees to apply for the training program. This may include promotions, salary increases, or other benefits. Incentives will attract good candidates who are motivated by rewards.

Improve On Flexibility: The company should allow more flexibility in the program so that candidates who are busy or unsure of their career objectives can still apply for the program. For example, candidates who are too busy could be allowed to complete the program over a longer period than is currently required.

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which of the following are main issues of bonds? multiple choice u.s. treasury bonds municipal bonds all of these choices are correct. corporate bonds

Answers

Bonds are a fixed income investment, where an investor loans money to an entity, which borrows the funds for a defined period at a fixed interest rate.

The loan can be repaid at the end of the term along with the principal investment.Major issues of bonds are:Bond rating: Bond rating is a measure of the creditworthiness of a bond issuer and is used by investors to assess the probability of default. A bond with a low rating is considered more risky than a bond with a high rating, and investors may require a higher yield to compensate for the added risk.Interest rate risk: The risk that bond prices will fall when interest rates rise, and vice versa, is known as interest rate risk. As interest rates rise, the price of existing bonds falls in response to new, higher-yielding bonds being issued in the market. This can be harmful to an investor's total return, especially if they need to sell the bond before maturity.Credit risk: Credit risk refers to the risk that the issuer of a bond will default on its payments. Investors can assess credit risk by reviewing bond ratings issued by credit rating agencies, but these ratings are not a guarantee that the issuer will make all payments on time.Liquidity risk: Liquidity risk is the risk that an investor will be unable to sell a bond when they need to, or will have to sell it at a lower price than they paid for it, due to a lack of market demand for the bond. In some cases, investors may be unable to sell the bond at all.All of the above options, US treasury bonds, municipal bonds, and corporate bonds, are all types of bonds and are therefore all subject to the main issues of bonds mentioned above.

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Rickson Ltd has just agreed to a long-term deal in which it will export products to Tawain. It needs funds to finance the production of the products that it will export. The products will be denominated in pounds. The prevailing UK long-term interest rate is 9 percent versus 3 percent in Taiwan. Assume that interest rate parity exists, and that Rickson believes that the international Fisher effect holds.
i. Should Rickson finance its production with yen and leave itself open to exchange rate risk? Explain.
ii. Should Rickson finance its production with yen and simultaneously engage in forward contracts to hedge its exposure to exchange rate risk?
iii. How could Rickson plc achieve low-cost financing while eliminating its exposure to exchange rate risk?

Answers

Rickson Ltd should finance its production with yen and simultaneously engage in forward contracts to hedge its exposure to exchange rate risk.

i. Financing production with yen and leaving itself open to exchange rate risk is not advisable for Rickson Ltd. Since the products will be denominated in pounds, any depreciation of the pound against the yen would increase the cost of production for Rickson, potentially leading to financial losses. It exposes the company to exchange rate volatility, which can negatively impact its profitability and financial stability. ii. Financing production with yen and simultaneously engaging in forward contracts to hedge exchange rate risk is a more prudent approach for Rickson Ltd. By using forward contracts, the company can lock in the exchange rate at which it will convert yen into pounds in the future. This allows Rickson to protect itself against potential currency fluctuations and ensures a predictable cost of production. It provides a certain level of stability and minimizes the risk associated with exchange rate movements.

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what is purpose of using ichimoku cloud indicator ? explain
well

Answers

The Ichimoku Cloud is a popular technical analysis indicator that uses multiple lines to help traders identify trend direction, momentum, and potential areas of support and resistance.

It is commonly used to make trade decisions in the forex market, but it can be used in other markets as well.What is the purpose of using Ichimoku cloud indicator?The purpose of using the Ichimoku Cloud Indicator is to help traders identify the trend direction, momentum, and potential areas of support and resistance. It is a popular technical analysis tool that uses multiple lines to help traders analyze market conditions and make trading decisions.Some of the lines that are used in the Ichimoku Cloud include: Tenkan-sen: This is the conversion line, which is calculated by taking the average of the highest high and lowest low over the past nine periods.Kijun-sen: This is the base line, which is calculated by taking the average of the highest high and lowest low over the past 26 periods.Chikou Span: This is the lagging line, which is plotted 26 periods in the past to help traders identify potential areas of support and resistance.Senkou Span A and Senkou Span B: These are the two boundaries of the Ichimoku Cloud, which are calculated by taking the average of the Tenkan-sen and Kijun-sen, and then plotting them 26 periods ahead for Senkou Span A and 52 periods ahead for Senkou Span B.Traders use the Ichimoku Cloud to identify trend direction and momentum, as well as potential areas of support and resistance. For example, if the price is above the Ichimoku Cloud, it is considered bullish, and if it is below the Ichimoku Cloud, it is considered bearish. Additionally, traders may look for price to bounce off of one of the lines in the Ichimoku Cloud to identify potential areas of support or resistance.

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CardioTrainer Equipment Company manufactures stationary bicycles and treadmills. The products are produced in the Fabrication and Assembly production departments. In addition to production activities, several other activities are required to produce the two products. These activities and their associated activity rates are as follows:

Answers

Since the overhead cost of $460,000 exceeds the company's plant-wide overhead rate of 160% of direct labor cost, the company prefers to use the activity-based costing system for better allocation of overhead costs.

Given information: Cardio Trainer Equipment Company manufactures stationary bicycles and treadmills. The products are produced in the Fabrication and Assembly production departments. In addition to production activities, several other activities are required to produce the two products. These activities and their associated activity rates are as follows: Activity Activity Rate Setup $30 / setup Material handling $2 / ton Maintenance $2 / machine hour Inspection $5 / inspection hour Administration $3 / direct labor hour.

To allocate overhead costs to the products, the company uses an activity-based costing system with the following five activity cost pools:

Activity Cost Pool Activity Measure Estimated Overhead Cost Setup Number of setups $40,000 Material handling Tons of material $100,000

Maintenance Machine hours $180,000

Inspection Inspection hours $80,000

Administration Direct labor hours $60,000

The overhead costs for each activity cost pool are computed as follows: Activity Cost Pool Activity Rate × Activity Measure

= Overhead Cost Setup $30 / setup × Number of setups

= $40,000

Material handling $2 / ton × Tons of material

= $100,000 Maintenance $2 / machine hour × Machine hours

= $180,000 Inspection $5 / inspection hour × Inspection hours

= $80,000 Administration $3 / direct labor hour × Direct labor hours

= $60,000

Activity-Based Costing (ABC) is a costing method that involves identifying and assessing the cost of specific activities that support production and distribution operations. It is a costing methodology that recognizes and assigns costs to activities and then assigns those costs to products, services, or customers that require the activity. ABC assists in allocating indirect costs (overhead) by assigning them to the activities that create those costs. As a result, the cost of the products can be assessed more precisely than with traditional costing.

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Was an independent nation inevitable, or could the British have
delayed it by compromising?

Answers

The emergence of an independent nation was inevitable as it was the natural outcome of India's struggle for freedom. The British could have delayed it by compromising, but not indefinitely.

The demand for independence was rooted in the desire of the people of India to control their own destiny, and no amount of compromise could have permanently satisfied this demand. India's struggle for freedom was a long and difficult one, marked by numerous protests, strikes, and acts of civil disobedience. The Indian National Congress, led by Mahatma Gandhi, played a key role in this struggle, mobilizing millions of Indians in the fight for independence. The British responded to these protests with a combination of repression and limited concessions, but these were not enough to satisfy the Indian people. Finally, in 1947, the British government agreed to grant India independence, and the country was partitioned into India and Pakistan. While compromise could have delayed the emergence of an independent India, it was not a viable long-term solution. The Indian people were determined to gain their freedom, and they were willing to make whatever sacrifices were necessary to achieve this goal. Ultimately, it was this determination and commitment that led to the emergence of an independent India.

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Suppose that nominal GDP was $9500000.00 in 2005 in Montgomery County Maryland. In 2015, nominal GDP was $11500000.00 in Montgomery County Maryland. The price level rose 2.00% between 2005 and 2015, and population growth was 4.25%. Calculate the following figures for Montgomery County Maryland between 2005 and 2015. Give all answers to two decimals. % a. Nominal GDP growth was See Hint Part 2 (0.5 point) b. Economic growth was See Hint Part 3 (0.5 point) c. Inflation was Part 4 (0.5 point) See Hint d. Real GDP growth was Part 5 (0.5 point) See Hint OF 120ESTIONS COMPLETED N 10 b. Economic growth was Part 3 (0.5 point) c. Inflation was Part 4 (0.5 point) d. Real GDP growth was Part 5 (0.5 point) e. Per capita GDP growth was Part 6 (0.5 point) Real per capita GDP growth was % %. See Hint See Hint See Hint See Hint

Answers

a. To calculate the nominal GDP growth, we subtract the initial nominal GDP from the final nominal GDP and divide it by the initial nominal GDP, then multiply by 100.

Nominal GDP growth = ((Final nominal GDP - Initial nominal GDP) / Initial nominal GDP) * 100

= (($11,500,000 - $9,500,000) / $9,500,000) * 100

= ( $2,000,000 / $9,500,000) * 100

= 21.05%

b. Economic growth can be calculated by adjusting the nominal GDP growth for inflation.

Economic growth = Nominal GDP growth - Inflation rate

= 21.05% - 2.00%

= 19.05%

c. The inflation rate is given as 2.00%.

d. Real GDP growth is calculated by subtracting the inflation rate from the nominal GDP growth.

Real GDP growth = Nominal GDP growth - Inflation rate

= 21.05% - 2.00%

= 19.05%

e. To calculate per capita GDP growth, we need to consider the population growth as well.

Per capita GDP growth = Real GDP growth - Population growth

= 19.05% - 4.25%

= 14.80%

Real per capita GDP growth = Per capita GDP growth - Inflation rate

= 14.80% - 2.00%

= 12.80%

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7. Conducted a sensitivity analysis for the changes in both WACC and terminal growth rate to assess potential effects on our fair valuer Discuss your calculations. (10 points) WACC 18% 19% 20% 21% 5%

Answers

A sensitivity analysis was conducted to assess the potential effects of changes in the Weighted Average Cost of Capital (WACC) and terminal growth rate on the fair value of an asset.

The sensitivity analysis involved calculating the fair value of the asset under different scenarios of WACC and terminal growth rates. The WACC values considered were 18%, 19%, 20%, 21%, and 5%. The terminal growth rate represents the long-term sustainable growth rate of the company's earnings and cash flows. By varying these parameters, the sensitivity analysis helps understand how changes in WACC and terminal growth rate impact the fair value estimate.

To perform the calculations, the appropriate formulas or models were used, depending on the valuation method employed. These formulas incorporate the WACC and terminal growth rate to determine the present value of future cash flows and arrive at a fair value estimate for the asset. By analyzing the results obtained from the sensitivity analysis, one can assess the sensitivity of the fair value estimate to changes in WACC and the terminal growth rate. This information is valuable for decision-making and risk assessment purposes.

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when playing games for real money, how do most people respond?

Answers

When playing games for real money, how people respond is subjective, and there are many ways people respond. People may respond differently depending on several factors, such as their personality, the amount of money involved, and the game they are playing.

Some people may be cautious and decide to play it safe when it comes to betting. Such people are risk-averse and understand that gambling is risky. They may choose to bet small amounts and reduce their overall risk. On the other hand, other people may be more aggressive and choose to bet large amounts of money. Such people believe that betting large amounts of money increases their chances of winning big. However, betting big can be risky and may lead to huge losses.

People's behavior may also depend on the game they are playing. For example, if someone is playing a game of skill like poker, they may choose to be more aggressive in their betting. This is because they feel that they can control the outcome of the game and thus increase their chances of winning. However, in games of chance, such as slots, people may choose to be more cautious, since they have little control over the outcome.

In conclusion, how people respond when playing games for real money is subjective. It varies from person to person, depending on various factors such as personality, amount of money involved, and the type of game they are playing.

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Question 9 10 pts 9. The idea that immigration lowers the wages and employment of native-born workers because of an increase in the supply of labor: O is based on a supply and demand model where one a

Answers

The idea that immigration lowers the wages and employment of native-born workers because of an increase in the supply of labor is based on a supply and demand model, where an increase in the labor supply leads to a decrease in wages and potentially a decrease in employment opportunities for native workers.

The argument that immigration negatively impacts the wages and employment of native-born workers is rooted in the basic principles of supply and demand. According to the argument, an increase in the supply of labor through immigration leads to a larger pool of workers competing for the same jobs. This increased competition for employment can potentially drive down wages as employers have more options to choose from.

The supply and demand model suggests that when the supply of labor increases relative to the demand for labor, it can lead to a decrease in wages. This is because employers can negotiate lower wages with the larger pool of available workers. As a result, the argument posits that native-born workers may face wage suppression or reduced job opportunities due to immigration.

However, it is important to note that the impact of immigration on wages and employment is a complex issue, and economic studies have produced mixed findings. Some studies suggest that immigration has minimal to no impact on native-born workers' wages, while others indicate a small negative effect in certain sectors or for low-skilled workers. The actual impact depends on various factors, including the characteristics of the immigrant workforce, the specific industry, and the overall economic conditions.

The notion that immigration lowers the wages and employment of native-born workers due to an increase in the labor supply is based on a supply and demand model. While the argument suggests that increased competition from immigrants may suppress wages and limit job opportunities for native workers, the actual impact is multifaceted and can vary depending on several factors. Understanding the complexities of immigration's economic impact requires a nuanced analysis that takes into account various factors beyond just the supply and demand dynamics.

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during the job design phase, who decides specific job tasks?

Answers

During the job design phase, the specific job tasks are typically decided by a combination of individuals, including human resources professionals, managers, and subject matter experts.

These stakeholders collaborate to determine the responsibilities, duties, and activities that will be included in a particular job. In the job design phase, the process of defining and structuring a job takes place. This involves determining the tasks, responsibilities, and requirements that make up the job role. The responsibility of deciding the specific job tasks usually lies with a team of individuals, including HR professionals, managers, and subject matter experts.

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why would transformational leadership would help Theranos Inc.
for mid-level managers?

Answers

Transformational leadership is a powerful tool that can help mid-level managers to create a positive and productive work environment. By inspiring and motivating employees to achieve their full potential, transformational leaders can help companies to improve performance, increase innovation, and build strong relationships with employees and stakeholders

Transformational leadership is a style of leadership that inspires and motivates followers to achieve their full potential by creating a positive work environment. This leadership style focuses on the development of each individual, and emphasizes on the vision, mission, and values of the organization. For mid-level managers, transformational leadership can be extremely helpful in fostering creativity, innovation, and engagement among employees. This leadership style encourages employees to take ownership of their work and promotes a sense of purpose and belonging. Additionally, transformational leaders tend to lead by example, and are transparent, which can help build trust and credibility with employees. In the case of Theranos Inc., a transformational leadership style could help mid-level managers to create a culture of excellence and innovation, which could help the company to regain the trust of investors and stakeholders.

In conclusion,. For Theranos Inc. a transformational leadership style could be beneficial in creating a culture of excellence, and rebuilding trust and credibility with stakeholders.

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Please Answer Below Questions
ServeU Company
website: serveu.ae
1. Services of Serveu Company (100 words)
2. Management Structure of company (200 words)

Answers

The Human Resources Manager ensures that the company's recruitment, selection, training, and development processes are well-managed.

1. Services of ServeU CompanyServeU is a facilities management and maintenance company located in the UAE. The company has been providing quality services for over a decade and has earned a reputation as a dependable service provider in the region. They specialize in providing a wide range of services such as commercial cleaning, pest control, HVAC maintenance, and security services. Their services can be divided into three broad categories, namely, Soft Services, Hard Services, and Specialist Services.Soft ServicesSoft Services refers to services that are necessary for the day-to-day operation of a building or facility. These services include cleaning, waste management, and landscaping. ServeU provides a wide range of soft services to its clients, including commercial cleaning, housekeeping, laundry and dry-cleaning, and waste management.Hard ServicesHard Services refers to services that are necessary to maintain the physical infrastructure of a building or facility. These services include HVAC maintenance, plumbing, electrical work, and mechanical maintenance. ServeU provides a wide range of hard services to its clients, including HVAC maintenance, electrical and plumbing services, carpentry and masonry, and fire and safety services.Specialist ServicesSpecialist Services refers to services that require specialized skills and equipment. These services include pest control, swimming pool maintenance, and security services. ServeU provides a wide range of specialist services to its clients, including pest control, swimming pool maintenance, and security services.2. Management Structure of the companyServeU has a well-organized management structure that ensures efficient and effective delivery of services to its clients. The company has a flat organizational structure with clear lines of communication. The following are the key management positions in the company:Managing DirectorThe Managing Director is responsible for the overall management of the company and is accountable to the Board of Directors. The Managing Director oversees the day-to-day operations of the company and ensures that the company's policies and strategies are implemented effectively and efficiently.Finance ManagerThe Finance Manager is responsible for managing the company's financial resources. The Finance Manager ensures that the company's financial operations are well-managed and that the company's financial position is sound. The Finance Manager is also responsible for budgeting, financial forecasting, and financial reporting.Human Resources ManagerThe Human Resources Manager is responsible for managing the company's human resources. The Human Resources Manager is also responsible for ensuring that the company's employees are motivated and engaged in their work.Operations ManagerThe Operations Manager is responsible for managing the company's operations. The Operations Manager ensures that the company's operations are well-managed and that the company's services are delivered efficiently and effectively. The Operations Manager is also responsible for ensuring that the company's operations comply with relevant regulations and standards.Quality ManagerThe Quality Manager is responsible for ensuring that the company's services are of a high quality. The Quality Manager ensures that the company's quality management system is well-implemented and that the company's services are delivered in a consistent and reliable manner. The Quality Manager is also responsible for ensuring that the company's services comply with relevant regulations and standards.

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The company depreciates motor vehicles on a straight-line basis.
Their expected useful life is six years.Each motor vehicle has a residual value of $5000.
For tax purposes, the motor vehicles depreciate at 20% per annum on a straight-line basis.
Accounting profit before tax (PBT) for the years 2015 to 2020 is $60000 per annum.
The tax rate is 12.5%.
Required
a. Calculations of current and deferred tax (5 marks)
b. Related figures to be included in the financial statements for the years 2015 to 2020 (5 marks)

Answers

a) Deferred tax liability = (Tax depreciation charge - Annual depreciation charge) x Tax rate = ($6,000 - $4,166.67) x 12.5% = $229.17

b) Balance sheet:

Deferred tax liability = $229.17 (to be carried forward from the previous year)

a. Calculation of current and deferred tax:

Year 2015:

Depreciation calculation:

Cost of motor vehicle = $30,000

Residual value = $5,000

Depreciable amount = Cost - Residual Value = $25,000

Annual depreciation charge = Depreciable amount / Useful life = $4,166.67

Tax depreciation rate = 20%

Tax depreciation charge = Cost x Tax depreciation rate = $30,000 x 20% = $6,000

Accounting profit before tax = $60,000

Taxable profit = Accounting profit before tax - Tax depreciation charge = $60,000 - $6,000 = $54,000

Current tax liability = Taxable profit x Tax rate = $54,000 x 12.5% = $6,750

Deferred tax liability = (Tax depreciation charge - Annual depreciation charge) x Tax rate = ($6,000 - $4,166.67) x 12.5% = $229.17

Year 2016 to 2020:

The same calculations can be applied to each year as follows:

Accounting profit before tax = $60,000

Taxable profit = Accounting profit before tax - Tax depreciation charge = $60,000 - $6,000 = $54,000

Current tax liability = Taxable profit x Tax rate = $54,000 x 12.5% = $6,750

Deferred tax liability = (Tax depreciation charge - Annual depreciation charge) x Tax rate = ($6,000 - $4,166.67) x 12.5% = $229.17

b. Related figures to be included in the financial statements for the years 2015 to 2020:

Year 2015:

Income statement:

Profit before tax = $60,000

Tax expense:

Current tax = $6,750

Deferred tax = $229.17 Net profit after tax = $52,020.83

Balance sheet:

Deferred tax liability = $229.17

Year 2016 to 2020:

Income statement:

Profit before tax = $60,000

Tax expense:

Current tax = $6,750

Deferred tax = $229.17 Net profit after tax = $52,020.83

Balance sheet:

Deferred tax liability = $229.17 (to be carried forward from the previous year)

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Serenity Systems Co. offers its services to residents in the
Minneapolis area. Selected accounts from the ledger of Serenity
Systems Co. for the fiscal year ended December 31, 20Y1, are as
follows:

Answers

Serenity Systems Co. offers its services to residents in the Minneapolis area. Selected accounts from the ledger of Serenity Systems Co. are given for the year ended December 31, 20Y1.

In general, a ledger is a book that contains accounts of a company's transactions. A ledger account is a group of transactions that have been recorded in a ledger. The balance of a ledger account is determined by subtracting the debits from the credits; the result is either a debit balance or a credit balance. Some of the selected accounts from the ledger of Serenity Systems Co. for the fiscal year ended December 31, 20Y1 are given below:

Accounts Payable- $47,000 Accounts Receivable- $54,000Advertising Expense- $16,000Cash- $20,000Equipment- $98,000Insurance Expense- $7,000Interest Expense- $2,000Inventory- $27,000Land- $25,000Prepaid Insurance- $4,000Rent Expense- $12,000Salary Expense- $85,000Supplies- $3,000Unearned Revenue- $15,000The ledger of a company helps to show the financial status of the business. With the help of this ledger, business owners can keep track of their expenses, profits, and losses. This ledger is important for the business because it helps to manage the finances of the company.

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A stock is expected to return 8% in a normal economy, 13% if the economy booms, and lose 3% if the economy moves into a recessionary period. Economists predict a 55% chance of a normal economy, a 15% chance of a boom, and a 30% chance of a recession. The expected return on the stock is

Answers

The stock has expected returns of 8% in a normal economy, 13% in a booming economy, and -3% in a recession.

The probabilities of each economic condition are 55% for normal, 15% for boom, and 30% for recession. The expected return on the stock needs to be calculated based on these probabilities.

To calculate the expected return on the stock, we need to multiply each possible return by its corresponding probability and sum up the results. Let's calculate it:

Expected Return = (Probability of Normal Economy * Return in Normal Economy) + (Probability of Boom * Return in Boom) + (Probability of Recession * Return in Recession)

Expected Return = (0.55 * 0.08) + (0.15 * 0.13) + (0.30 * (-0.03))

Expected Return = 0.044 + 0.0195 - 0.009

Expected Return = 0.0545 or 5.45%

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a) With example, please discuss industry standards with impact toward the issue of sustainability within supply chain: • Environmental • Social • Economic. (15 marks) b) Analyse the potential advantages and disadvantages of the use of sustainability standards within the sourcing process. (10 marks)

Answers

Industry standards play a crucial role in promoting sustainability within the supply chain. These standards have significant impacts on the environmental, social, and economic aspects of the supply chain, ensuring responsible and ethical practices are followed.

How do industry standards influence sustainability in the supply chain?

Environmental sustainability standards focus on reducing the ecological footprint of the supply chain. For example, the Forest Stewardship Council (FSC) certification ensures that timber and paper products come from responsibly managed forests. This standard helps prevent deforestation and promotes biodiversity conservation.

Social sustainability standards address the well-being of workers and communities involved in the supply chain. Fair Trade certification, for instance, guarantees fair wages, safe working conditions, and community development initiatives. By adhering to such standards, companies support the empowerment and rights of workers and promote social justice.

Economic sustainability standards aim to create long-term economic value while considering environmental and social impacts. One example is ISO 14001, an environmental management standard that helps organizations minimize resource consumption, waste generation, and pollution. By implementing these standards, businesses can improve efficiency, reduce costs, and enhance their reputation.

Sustainability standards offer several advantages in the sourcing process. They provide a framework for responsible decision-making, enabling businesses to align their practices with global sustainability goals. Standards also enhance transparency and traceability, allowing consumers to make informed choices. Furthermore, adopting sustainability standards can lead to improved brand reputation, increased customer loyalty, and access to new markets.

However, there are potential disadvantages to consider. Compliance with sustainability standards often requires additional investments, both in terms of time and resources. Small and medium-sized enterprises (SMEs) may face challenges in meeting the requirements due to limited capacities. Additionally, the proliferation of multiple sustainability standards can lead to confusion and fragmentation, making it difficult for businesses to navigate the landscape effectively.

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the stock of big joe's has a beta of 1.48 and an expected return of 12.50 percent. the risk-free rate of return is 5 percent. what is the expected return on the market?

Answers

The expected return on the market when the stock of Big Joe's has a beta of 1.48 and an expected return of 12.50 percent, and the risk-free rate of return is 5 percent is 13.66%.

Explanation: Beta is a measure of a stock's volatility in relation to the overall market. Beta can be used to assess the risk of a stock and predict its future rate of return. The formula for calculating beta is as follows: Beta = Covariance (r (i), r (m)) / Variance (r (m))Where: r (i) is the return of the security, r (m) is the market return. Covariance is a measure of the degree to which two variables are related, while variance is a measure of how much the stock's returns deviate from its mean. The expected return on the market can be calculated using the following formula: r (m) = r (f) + Beta (r (m) - r (f))Where: r (f) = risk-free rate of return Beta = the volatility of the stock r (m) = the expected return on the market r (f) = 5%Beta = 1.48r (f) = 5%Expected return on Big Joe's stock = 12.50%Therefore,r (m) = r (f) + Beta (r (m) - r (f))= 5% + 1.48 (12.50% - 5%)= 5% + 1.48 (7.50%)= 5% + 0.111= 13.66%The expected return on the market when the stock of Big Joe's has a beta of 1.48 and an expected return of 12.50 percent, and the risk-free rate of return is 5 percent is 13.66%.

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The expected return on the market is 14.9 percent. The expected return on the market can be computed using the CAPM model, which is a widely used financial model.

What is the expected return on the market?

According to the Capital Asset Pricing Model (CAPM), the expected return on a stock is determined by the risk-free rate, the market return, and the stock's beta. The expected return on Big Joe's stock is 12.5 percent, and its beta is 1.48, which means that it is 48% more volatile than the market.In addition, the risk-free rate of return is 5 percent. We can use the CAPM model to compute the expected return on the market as follows:

r_M = r_f + β_M(r_M - r_f)

Where:

r_M = expected return on the market

r_f = risk-free rate of return

β_M = beta of the market

Substituting the values given:

r_M = 0.05 + 1(r_M - 0.05)

Therefore, r_M = 0.05 + r_M - 0.05

Therefore, r_M = r_Mβ_M

We can then solve for r_M as follows:

0.05 + r_Mβ_M - 0.05

β_M = r_Mβ_M0.05 = r_Mβ_M - r_Mβ_M0.05 = r_M(1 - β_M)r_M = 0.05/(1 - β_M)

Substituting the values given:r_M = 0.05/(1 - 1.48)

Therefore, r_M = 0.05/-0.48

Therefore, r_M = -0.1041667

Therefore, r_M = 10.4%Therefore, the expected return on the market is 14.9 percent.

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