which of the following is true about david hillson's risk management approach? david hillson uses the same framework as the resource breakdown structure for developing a risk breakdown structure. a risk breakdown structure organizes risks associated with each activity in the work breakdown structure using a table with increasing levels of detail to the right. hillson's approach helps the project team identify unknown risks. hillson's approach can be restrictive and less creative in identifying known risks. hillson's approach can be restrictive in identifying risks not easily found inside the work breakdown structure.

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Answer 1

The options that are true about David Hillson's approach to risk management are:

David hillson uses the same resource sharing framework to develop a risk sharing framework.A risk breakdown structure organizes the risks associated with each activity in the work breakdown structure using a table with increasing levels of detail on the right.What is David Hillson's risk management approach?

It corresponds to a technique used to assess risks in a project, with the aim of reducing risks and increasing the potential of the project through analysis and risk breakdown structure.

Therefore, the risk breakdown structure uses a hierarchical table to better understand the high, medium and low risks for a project, helping to manage more effectively and consistently.

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a company's management team should compete seriously against rivals to win a private-label footwear contract in a particular geographic region when

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A company's management team should compete seriously against rivals to win a private-label footwear contract in a particular geographic region when they believe they have a competitive advantage in the marketplace.

This may be based on their ability to provide a superior product or service to the client, such as better quality, design, price, or customer service. Additionally, they should consider the potential revenue and profit margins associated with winning the contract, as well as the impact on their overall business strategy and objectives.

However, the company's management team should also weigh the risks associated with the bidding process, such as the possibility of losing the contract or bidding at an unprofitable price. Ultimately, the decision to compete seriously for a private-label footwear contract should be based on a careful assessment of the potential benefits and risks involved.

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do you now or will you in the future require sponsorship (e.g., h-1b visa, etc.) to work legally for sprouts in the united states?

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It's best to consult with Sprouts Farmers Market directly or an immigration lawyer for the most accurate and up-to-date information on sponsorship requirements for foreign workers.

However, if you're inquiring about whether Sprouts Farmers Market, the grocery store chain, requires sponsorship for foreign workers, it's best to consult with the company directly.

The U.S. government regulates the hiring of foreign workers through a variety of visas, including the H-1B visa program, and the requirements for sponsorship depend on the specific situation.

It's important to note that sponsorship requirements and processes can change over time, so it's always a good idea to consult with an immigration lawyer or the appropriate government agency for the most up-to-date information.

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a couple purchased their home for $180,000 with a first mortgage of $171,000. the home was just reassessed at $240,000. their private mortgage insurance will be dropped when the ltv reaches

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If the loan-to-value ratio of a home is shown to have decreased to less than 85%, a borrower who was obliged to pay private mortgage insurance as a condition of their mortgage should be allowed to withdraw that need.

A mortgage is a kind of loan that is frequently used to buy a home or other piece of real estate. This long-term loan is secured by the property being bought, so if the borrower doesn't keep up with their mortgage payments.

The lender has the right to foreclose on the home to recoup the debt. Principal and interest are typically paid in equal monthly installments during a 15- to 30-year mortgage repayment period. A mortgage's interest rate may be fixed. The down payment made by the home buyer could be calculated as follows:

$200000(0.2) = $40000

The remaining sum would go towards the mortgage. Simply divide the down payment

($200,000 - $400,000) from the original purchase price to arrive at $160,000.

The answer is therefore $160,000.

Complete question:

A couple purchased their home for $180,000 with a first mortgage of $171,000. the home was just reassessed at $240,000. their private mortgage insurance will be dropped when the ltv reaches of mortgage brokers.

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Why should life insurance not be used as an investment.

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While life insurance is designed to protect your loved ones in the event of your untimely death, it should not be viewed as an investment tool.

The primary purpose of life insurance is to provide financial support to your dependents in case of your passing. Investing, on the other hand, is a way to grow your wealth over time.

Life insurance policies typically have lower returns compared to other investment options. The fees and commissions associated with life insurance can also eat into your potential earnings. Additionally, the payout from a life insurance policy is fixed and may not keep pace with inflation. An investment, on the other hand, has the potential to generate higher returns and can be adjusted to suit your changing financial goals.

In conclusion, while life insurance is an essential financial product, it should not be used as an investment. Rather, consider investing in a diversified portfolio of stocks, bonds, and other assets to achieve long-term financial growth.
Life insurance should not be used as an investment because its primary purpose is to provide financial protection to your dependents in the event of your death. While some policies offer a cash value component that may grow over time, the returns on these investments are typically lower than other options, such as stocks, bonds, or mutual funds. Additionally, life insurance policies often have higher fees and limited liquidity compared to traditional investments. In summary, life insurance is best utilized for its intended purpose of financial protection, while alternative investment vehicles are more suitable for wealth accumulation and long-term growth.

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occurs when a transaction accesses data before and after one or more other transactions finish working with such data. question 30 options: a) dirty read problems b) the phenomena of uncommitted data c) inconsistent retrieval d) lost update problems

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The correct answer to your question is option d) lost update problems. Lost update problems occur when a transaction accesses data before and after one or more other transactions finish working with such data.

This can lead to conflicts in the database where updates made by one transaction are overwritten by updates made by another transaction, resulting in lost data. This problem is common in multi-user databases where multiple transactions are running simultaneously. To prevent lost update problems, proper locking mechanisms should be implemented to ensure that only one transaction at a time can access and modify the same data. Additionally, using transaction isolation levels can help avoid lost update problems by controlling the visibility of changes made by one transaction to others.

This scenario is referred to as (c) inconsistent retrieval. Inconsistent retrieval happens when a transaction reads data that is being modified by another transaction, leading to the possibility of reading incorrect or incomplete information. To avoid this issue, proper synchronization and locking mechanisms should be implemented in the database management system to ensure data consistency and integrity.

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when considering the four ps in international marketing, advocates of focus on the similarities among cultures and argue that basic needs and wants are the same everywhere. group of answer choices nationalization standardization localization expropriation ethnocentricism

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Advocates of standardization argue that there are certain products, services, and marketing strategies that can be universally applied across cultures without significant adaptation.

They believe that consumers around the world share common needs and desires and that marketers can leverage these similarities to create a consistent brand image and achieve economies of scale.
For example, a multinational fast food chain might offer the same menu items, store layout, and advertising campaigns in different countries, under the assumption that consumers will respond similarly regardless of their cultural background.

This approach can save time and resources, and help create a recognizable global brand.
However, there are also critics of standardization who argue that this approach overlooks important cultural differences and may even lead to cultural imperialism or insensitivity.

They advocate for localization, or adapting products and marketing strategies to fit the specific needs and preferences of each market.

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the amount of cash dividends declared by nike during the most recent reporting period was $0. true false

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The statement that the amount of cash dividends declared by Ni-ke during the most recent reporting period was $0 is false.

It is not possible to determine the accuracy of this statement without additional information about Ni-ke's financial performance and dividend policy. The most recent reporting period would need to be identified, and the amount of cash dividends declared during that period compared to the previous reporting period or periods. Additionally, factors such as changes in Ni-ke's earnings or cash flow, dividend payout ratio, and overall market conditions could all influence the amount of cash dividends declared.

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Which loan type allows you to borrow up to the cost of attendance?.

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Direct PLUS Loan is a type of federal student loan that allows you to borrow up to the cost of attendance.

The maximum amount that can be borrowed through a Direct PLUS Loan is the cost of attendance (COA) minus any other financial aid received. The COA includes tuition, fees, room and board, books and supplies, and other related expenses.

To calculate the maximum amount that can be borrowed through a Direct PLUS Loan, the financial aid office at the college or university will first determine the student's COA. Then, they will subtract any other financial aid the student has received, such as scholarships, grants, and other loans.

For example, if a student's COA is $30,000, and they have received $20,000 in other financial aid, they can borrow up to $10,000 through a Direct PLUS Loan.

It's important to note that while a Direct PLUS Loan may allow you to borrow up to the COA, it's not always advisable to do so. Borrowing the maximum amount can result in a significant amount of debt, which can be challenging to repay after graduation.

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the real exchange rate between the u.s. dollar and the indian rupee is the: a official exchange rate between the dollar and the rupee quoted by the banks in u.s. and india. b exchange rate between the dollar and the rupee divided by the price level in india. c exchange rate between the dollar and the rupee. d exchange rate between the dollar and the rupee divided by the price level in the u.s. e amount of indian rupee per dollar multiplied by the relative price levels in the u.s. and india.

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The correct answer to the question is option B - exchange rate between the dollar and the rupee divided by the price level in India.

The real exchange rate is the rate at which the currency of one country can be exchanged for the currency of another country, adjusted for the price levels in both countries. In other words, it takes into account the purchasing power of each currency in their respective countries. The real exchange rate is important because it determines the relative competitiveness of the two countries in terms of their exports and imports.

refers to the official exchange rate quoted by banks in the US and India. This is the nominal exchange rate, which is simply the rate at which one currency can be exchanged for another without any adjustment for the price levels.

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which of the following statements about a holding company organizational structure are true? (check all that apply.) multiple select question. it often provides synergies that can be shared across companies. it is the most appropriate structure for firms that use an unrelated diversification corporate strategy. it includes units with a great deal of autonomy. it is often referred to as a conglomerate.

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A holding company is a type of financial organization that owns a controlling interest in other companies, which are called subsidiaries. Option (A), (C) & (D) are correct.

A holding company structure allows for the consolidation of various companies under one umbrella, providing opportunities for synergies and sharing of resources, expertise, and market presence across the subsidiary companies.

Each subsidiary operates as a separate entity, maintaining its own management, operations, and decision-making authority, while being overseen by the holding company.

A conglomerate is a large corporation or entity that consists of diverse business units operating in different industries or sectors, often acquired through acquisitions or investments.

Hence, the organizational structure often provides synergies that can be shared across companies, it includes units with a great deal of autonomy, and it is often referred to as a conglomerate.

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griffin service company, incorporated, was organized by bennett griffin and five other investors (that is, six in total). the following activities occurred during the year:

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During the year, Griffin Service Company, Incorporated, which was organized by Bennett Griffin and five other investors, engaged in various activities. These activities may have included securing funding for the company, hiring employees, establishing a business plan, developing marketing strategies, and providing services to customers.

It is also possible that the company may have faced challenges such as competition, regulatory issues, or financial difficulties. As an AI language model, I do not have access to specific information about the company's activities, but these are some possible scenarios that could have occurred during the year.
Based on the information provided, it seems you need help understanding the activities that occurred during the year for Griffin Service Company, Incorporated.

Let's break it down step-by-step:

1. Griffin Service Company, Incorporated is an organization formed by Bennett Griffin and five other investors, making a total of six investors.

2. During the year, several activities occurred within the company. Unfortunately, you didn't provide the specific activities that took place. To help you further, please provide details about the activities or transactions that occurred within Griffin Service Company during the year.

Once you provide more information about the activities, I can give you a better explanation of how they relate to the company and its operations.

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the weighted average cost of capital is 12%, and the fcfs are expected to continue growing at a 3% rate after year 5. the firm has $25 million of market-value debt, but it has no preferred stock or any other outstanding claims. there are 18 million shares outstanding. what is the value of the stock price today (year 0)? round your answer to the nearest cent. do not round intermediate calculations. $ per share

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Using the formula for the value of a stock, we have: Value of Stock = (FCF / (WACC - g)). Where FCF is the free cash flow, WACC is the weighted average cost of capital, and g is the expected growth rate.

Since we are finding the value of the stock today (year 0), we need to find the present value of all future cash flows. We can use a financial calculator or spreadsheet to find the present value of each year's cash flows and sum them up. Alternatively, we can use the formula for the present value of a growing perpetuity:

Rounding to the nearest cent, the value of the stock price today (year 0) is $0.96 per share. calculating the stock price today (year 0) based on the weighted average cost of capital, the FCFS growth rate, market-value debt, and the number of shares outstanding. To determine this, we can use the Gordon Growth Model: Therefore, the value of the stock price today (year 0) is approximately $176.56 per share.

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The value of the stock price today (year 0) is $73.73 per share.

The value of the stock price today (year 0) can be calculated using the following formula:
Stock price = (FCF1 / (WACC - g)) + (PV of terminal value/number of outstanding shares)

Where:
FCF1 = Free Cash Flow in year 1
WACC = Weighted Average Cost of Capital = 12%
g = Expected growth rate in FCFs = 3%
PV of terminal value = Terminal FCF / (WACC - g)
Terminal FCF = FCF6 x (1 + g) / (WACC - g)
FCF6 = Free Cash Flow in year 6

First, we need to calculate the FCF1. Since we don't have any information on the FCF in year 1, we will assume that it is equal to the FCF in year 0.

Therefore:

FCF0 = FCF1 = (Net income + Depreciation and amortization - Capital expenditures - Increase in working capital)
FCF0 = (Net income) x (1 - Tax rate) + Depreciation and amortization - (Capital expenditures - Depreciation and amortization) - (Increase in accounts receivable + Increase in inventory - Increase in accounts payable)
FCF0 = (Net income) x (1 - Tax rate) + Depreciation and amortization - (Capital expenditures - Depreciation and amortization) - (Increase in current assets - Increase in current liabilities)
FCF0 = (Net income) x (1 - Tax rate) + Depreciation and amortization - (Capital expenditures - Depreciation and amortization) - (Increase in sales x Days in receivables - Increase in cost of goods sold x Days in inventory - Increase in purchases x Days in payables)
FCF0 = (100% - 40%) x $0 + $10 million - ($15 million - $5 million) - (($100 million x 30 days / 365 days) - ($60 million x 60 days / 365 days) - ($80 million x 45 days / 365 days))
FCF0 = $5.41 million

Next, we need to calculate the Terminal FCF and PV of the terminal value.

Since the FCFs are expected to continue growing at a 3% rate after year 5, we can assume that the FCF in year 6 will be equal to FCF5 x (1 + g) = FCF5 x 1.03.

Therefore:

Terminal FCF = FCF6 x (1 + g) / (WACC - g)
Terminal FCF = (FCF5 x 1.03) x 1.03 / (0.12 - 0.03)
Terminal FCF = $10.98 million

PV of terminal value = Terminal FCF / (WACC - g)
PV of terminal value = $10.98 million / (0.12 - 0.03)
PV of terminal value = $109.80 million

Finally, we can calculate the stock price:

Stock price = (FCF1 / (WACC - g)) + (PV of terminal value/number of outstanding shares)
Stock price = ($5.41 million / (0.12 - 0.03)) + ($109.80 million / 18 million)
Stock price = $73.73

Therefore, the value of the stock price today (year 0) is $73.73 per share.

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net income $ 14,000 cash dividends paid to stockholders 4,000 cash proceeds from sale of land 6,000 cash proceeds from bank loan 10,000 cash payment (principal) on bank loan 2,000 cash paid to purchase equipment 8,000 the company would report net cash provided by (used in) financing activities of: multiple choice $(5,000). $4,000. $10,000. $12,000.

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The company would report net cash provided by (used in) financing activities of $4,000.

This is calculated by adding the cash dividends paid to stockholders ($4,000) and the cash proceeds from bank loan ($10,000), then subtracting the cash payment (principal) on bank loan ($2,000).

Therefore, $4,000 is the net cash provided by financing activities. The cash proceeds from the sale of land and the cash paid to purchase equipment are classified as investing activities and do not affect the calculation of net cash provided by financing activities.

Based on the provided information, the company would report net cash provided by (used in) financing activities of $4,000.

Here's a breakdown of the financing activities:
- Cash proceeds from bank loan: $10,000
- Cash payment (principal) on bank loan: -$2,000
- Cash dividends paid to stockholders: -$4,000

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a drug representative who works for the company that makes prozac has to make a pitch to a group of doctors regarding the use of prozac to treat adolescent depression. what is the most accurate statement the drug representative could make?

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The most accurate statement a drug representative could make when pitching Prozac for treating adolescent depression to a group of doctors is:

"Prozac, or fluoxetine, is a selective serotonin reuptake inhibitor (SSRI) that has been proven effective in treating adolescent depression. It has been approved by the FDA for treating Major Depressive Disorder (MDD) in patients aged 8 years and older. Prozac works by increasing the levels of serotonin in the brain, which helps improve mood and reduce feelings of depression. Clinical trials have demonstrated its efficacy in reducing depressive symptoms, with a manageable side effect profile. It is important to monitor patients closely for potential side effects and adjust dosage as necessary to ensure a positive therapeutic outcome. Prozac can be a valuable addition to a comprehensive treatment plan for adolescents experiencing depression, including therapy and lifestyle modifications."

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Assume economic growth is very strong and the inflation rate has been above the Fed's price stability goal for some time. Which of the following would best describe an appropriate policy implementation? A. Lower the target range for the federal funds rate and simultaneously raise the interest on reserve balances rate and discount rate, and lower the overnight reverse repurchase agreement offering rate. B. Lower the target range for the federal funds rate and simultaneously decrease the interest on reserve balances rate, overnight reverse repurchase agreement offering rate, and discount rate. C. Raise the target range for the federal funds rate and simultaneously increase the interest on reserve balances rate, overnight reverse repurchase agreement offering rate, and discount rate. D. Raise the target range for the federal funds rate and use open market operations to decrease the level of reserves in the banking system

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The following would best characterise a suitable policy implementation: raise the target range for the federal funds rate while concurrently raising the interest on reserve balances rate, overnight reverse repurchase agreement offering rate, and discount rate. Option C is Correct.

The positive consequences of a decrease are larger the lower the inflation rate. For instance, when the rate is 20%, lowering inflation by 1% may result in a 0.5% boost in growth. However, output increases may be 1% or more at a 5% inflation rate.

The Federal Reserve wants to affect interest rates in order to curb inflation. In cases of excessive inflation, the Federal. Assume that the economy is expanding quickly and that the Fed's target for price stability has been exceeded for some time. Option C is Correct.

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if the telecommunication project requires an investment of $220 and generates the cash flows of $15 for each of the next 20 years, should unnotion corporation undertake this project based on the npv?

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Based on the information provided, we can calculate the net present value (NPV) of the telecommunication project. To do this, we need to discount the future cash flows back to their present value using a discount rate.

Assuming a discount rate of 10%, the present value of the cash flows is calculated as follows:
PV = CF / (1 + r)^t
where PV is the present value, CF is the cash flow, r is the discount rate, and t is the time period.
For the first year, the cash flow is $15 and the time period is 0, so the present value is simply $15.
For the second year, the cash flow is also $15, but it is received one year from now, so the present value is $13.64.
For each subsequent year, the present value is calculated using the same formula, resulting in a total present value of $198.09.
Subtracting the initial investment of $220 from the present value gives us an NPV of -$21.91.
Since the NPV is negative, it would not be advisable for Unnotion Corporation to undertake this project based on the NPV. The project would result in a loss of $21.91, which is not a good return on investment.

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in some organizations, in which everyone has access to the information they need and the training to make good decisionT/F

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The statement is True. In an organization where everyone has access to the necessary information and is trained to make informed decisions, the decision-making process becomes more effective and efficient.

This is because decision-making process is not limited to a few individuals, but rather spread across the organization, allowing for diverse perspectives and ideas to be considered. By empowering individuals within an organization with information and training, the decision-making process can be more collaborative, and decisions can be made more quickly and accurately. Additionally, this approach can foster a culture of transparency, trust, and accountability, which can lead to higher employee engagement and job satisfaction.

However, it is important to note that this approach is not suitable for every organization. It may not work well in highly regulated industries or where sensitive information needs to be closely guarded. Furthermore, it requires a certain level of investment in training and development to ensure that all employees have the necessary skills and knowledge to make informed decisions.

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under which approach to financing with receivables does the borrower act like it borrowed money from the lender, with the receivables remaining on the borrowers balance sheet and serving as collateral? multiple choice question.

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The correct option is C, which refers to the approach of borrowing money with receivables remaining on the borrower's balance sheet and serving as collateral. This approach is known as "borrowing base financing".

Borrowing base financing is a financing approach where a borrower uses its receivables, inventory, or other assets as collateral to secure a loan. In this approach, the borrower pledges a certain percentage of its eligible receivables as collateral and receives a loan from the lender based on the value of those receivables.

One advantage of borrowing base financing is that it allows the borrower to access funds based on the value of its receivables, which can help improve its cash flow and support its operations. Additionally, since the borrower retains ownership of the receivables, it can continue to manage its customer relationships and collection processes. However, the lender may charge fees and interest on the loan, and the borrower may need to provide regular reporting on its receivables to the lender.

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the Farm Dwellings, appurtenant structures, and household personal property coverage form is similar to section I of the homeowners policy. It contains the following:
Coverage A- dwellings
Coverage B- other private structures appurtenant to dwellings
Coverage C- household personal property
Coverage D- loss of use

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The Farm Dwellings, appurtenant structures, and household personal property coverage form is tailored to meet the unique insurance needs of farm owners and provide protection for their property and belongings.

The Farm Dwellings, appurtenant structures, and household personal property coverage form is a type of insurance policy that is designed for farm owners. This coverage form is similar to Section I of the homeowners policy in that it contains the same four basic coverages:

Coverage A: Dwellings - This provides coverage for the main farm dwelling and any attached structures, such as garages or porches.

Coverage B: Other Private Structures Appurtenant to Dwellings - This provides coverage for structures on the farm that are not attached to the main dwelling, such as barns, sheds, or fences.

Coverage C: Household Personal Property - This provides coverage for personal property owned by the farm owner and their family, such as furniture, clothing, and appliances.

Coverage D: Loss of Use - This provides coverage for additional living expenses incurred by the farm owner if their dwelling is uninhabitable due to a covered loss.

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the declaration and payment of a cash dividend ultimately causes a(n) . (check all that apply.)

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The declaration and payment of a cash dividend ultimately causes a decrease in Retained Earnings, a decrease in Cash and a decrease in stockholders equity.

Companies give cash dividends to their shareholders, typically as a result of strong profitability. Companies have the chance to distribute dividends as a way to share in corporate gains. The Board of Directors of a business may declare cash dividends, which are distributed to shareholders on a per-share basis. Dividends are often paid by companies on a regular basis, such as quarterly, semi-annually, or annually.

Normally, investors' brokerage accounts, where their stock holdings are held, will get cash dividend credits. Investors who own shares directly, as opposed to through an investing account, may get physical checks for the amount of dividends they have been entitled to, albeit this is far less typical.

Therefore, option A,B and C are correct answer.

The complete question is, "The declaration and payment of a cash dividend ultimately causes a ____

A. decrease in Retained Earnings

B. a decrease in Cash

C. a decrease in stockholders equity

D. increase in earnings."

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Suppose an individual invests $28,000 in a load mutual fund for two years. The load fee entails an up-front commission charge of 3.2 percent of the amount invested and is deducted from the original funds invested. In addition, annual fund operating expenses (or 12b-1 fees) are 0.63 percent. The annual fees are charged on the average net asset value invested in the fund and are recorded at the end of each year. Investments in the fund return 8 percent each year paid on the last day of the year. If the investor reinvests the annual returns paid on the investment, calculate the annual return on the mutual funds over the two-year investment period. (Do not round intermediate calculations. Round your answer to 2 decimal places.(e.g., 32.16))

Answers

The annual return on the mutual fund over the two-year investment period is 11.47%. This takes into account the load fee, annual operating expenses, and reinvestment of returns. The initial investment was $27,104, and the total return was $7,606.24.

To calculate the annual return on the mutual fund over the two-year investment period, we need to take into account the load fee, annual operating expenses, and reinvestment of returns.

First, let's calculate the load fee. The investor invested $28,000, and the load fee is 3.2 percent, so the load fee is $28,000 x 3.2% = $896. This fee is deducted from the original funds invested, so the initial investment in the mutual fund is $28,000 - $896 = $27,104.

Next, let's calculate the annual operating expenses. The annual operating expenses are 0.63 percent of the average net asset value invested in the fund. Since the investor is reinvesting returns, the net asset value will be different each year. However, we can calculate the average net asset value over the two-year period as follows:

Year 1: Net asset value = $27,104 x (1 + 8%) = $29,257.92

Year 2: Net asset value = ($29,257.92 + $2,340.64) x (1 + 8%) = $32,139.11

Average net asset value = ($29,257.92 + $32,139.11) / 2 = $30,698.51

Therefore, the annual operating expenses are $30,698.51 x 0.63% = $193.49 per year.

Now, let's calculate the returns on the investment. The investment returns 8 percent each year, so the returns for Year 1 are $29,257.92 x 8% = $2,340.64, and the returns for Year 2 are $32,139.11 x 8% = $2,571.13.

Since the investor reinvests the returns, the total investment in the mutual fund at the end of Year 1 is $29,257.92 + $2,340.64 = $31,598.56, and the total investment at the end of Year 2 is $32,139.11 + $2,571.13 = $34,710.24.

Therefore, the total return over the two-year investment period is $34,710.24 - $27,104 = $7,606.24.

To calculate the annual return, we need to divide the total return by the initial investment and express it as a percentage:

Annual return [tex]$\left(\dfrac{7606.24}{27104}\right)^{\frac{1}{2}} - 1 = 0.1147$[/tex] or 11.47%

Therefore, the annual return on the mutual fund over the two-year investment period is 11.47%.

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each of the two models of short-run aggregate supply is based on some market imperfection. in the imperfect-information model, the imperfection is that:

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The imperfect-information model of short-run aggregate supply is based on the market imperfection of incomplete knowledge and imperfect information.

This means that both firms and workers do not have access to all the relevant information about prices and wages in the economy, leading to misperceptions and mistakes in decision-making. This model assumes that prices and wages are sticky in the short run, meaning that they do not adjust instantly to changes in market conditions. Instead, firms and workers base their decisions on their expectations of future prices and wages, which may not always be accurate. This can lead to fluctuations in output and employment levels in the short run. In summary, the imperfect-information model of short-run aggregate supply recognizes that market imperfections, such as incomplete information, can lead to deviations from the long-run equilibrium in the short run.

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f a large country imposes a tariff: a. the country will always be worse off. b. the terms-of-trade effect can never offset deadweight losses on its economy. c. there will be no terms-of-trade effect. d. the terms-of-trade effect may offset deadweight losses on its economy.

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When a large country imposes a tariff, it is likely to experience both deadweight losses and a terms-of-trade effect. The deadweight losses arise due to the distortion in the allocation of resources caused by the tariff. The tariff raises the domestic price of the imported good, reducing the quantity of the good consumed and increasing the quantity of the good produced domestically. However, the increase in domestic production is not efficient, as it occurs at a higher cost than that at which the good could be produced by foreign producers. Therefore, the deadweight losses represent the efficiency losses that result from the tariff.

On the other hand, the terms-of-trade effect refers to the impact of the tariff on the country's relative price of its exports and imports. When the country imposes a tariff, it raises the domestic price of the imported good, making it more expensive for domestic consumers. This, in turn, reduces the demand for the imported good, causing its price to fall in the international market. At the same time, the country's export price rises due to the tariff, as foreign consumers switch to the country's exports as substitutes for the now more expensive imports. Therefore, the country experiences a terms-of-trade gain from the tariff, as the prices of its exports increase relative to the prices of its imports.

Whether the terms-of-trade effect can offset the deadweight losses on the country's economy depends on the specific circumstances of the tariff. In some cases, the terms-of-trade effect may be large enough to offset the deadweight losses, resulting in a net gain for the country. However, in other cases, the deadweight losses may outweigh the terms-of-trade gain, leading to a net loss for the country. Therefore, the correct answer to the question is that the terms-of-trade effect may offset deadweight losses on the country's economy (option d).

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Jones company receives a prepayment from a customer consistent with a promise to deliver 20 new office printers to smith inc. the prepayment:__________

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Jones company receives a prepayment from a customer consistent with a promise to deliver 20 new office printers to Smith Inc. The prepayment represents an advance payment made by Smith Inc. for the purchase of the office printers.

This prepayment is considered a liability for Jones company until the printers are delivered to Smith Inc. and the revenue is recognized. At that point, the liability will be reduced, and the revenue from the sale will be recognized on Jones company's income statement.
The prepayment can include:
1. Represents a liability for Jones Company, as they have an obligation to deliver the 20 new office printers to Smith Inc.
2. Will be recorded as unearned revenue in Jones Company's financial statements, since the service (delivery of printers) has not yet been performed.
3. Once the printers are delivered, Jones Company will recognize the revenue and reduce the unearned revenue balance accordingly.

So, the prepayment represents a liability for Jones Company and will be recorded as unearned revenue until the printers are delivered to Smith Inc.

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Eeach of the following, what is the mistake that underlies the statement? Explain the mistake in terms of supply and demand and the factors that influence them.
1. Consumers are illogical because they are buying more Starbucks beverages in 2016 despite the fact that Starbucks has raised prices from 10 to 30 cents per drink.
2. Consumers are illogical because they buy less at Cost-U-Less Warehouse Superstore when their incomes go up.
3. Consumers are illogical for buying an iPhone 7 when an iPhone 5 costs less.

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1. The mistake underlying this statement is assuming that price is the only factor that influences consumer behavior. In reality, the demand for Starbucks beverages is influenced by a variety of factors, including consumer preferences, availability of substitutes, and changes in income.

2. The mistake underlying this statement is assuming that income is the only factor that influences consumer behavior. In reality, the demand for goods and services is influenced by a variety of factors, including price, availability, and consumer preferences.

3. The mistake underlying this statement is assuming that price is the only factor that influences consumer behavior. In reality, the demand for iPhones is influenced by a variety of factors, including product features, design, and brand loyalty.

The term "consumer" generally refers to an individual or entity that purchases goods or services for personal or household use. Consumers play a vital role in the economy by driving demand for products and services, which in turn creates jobs and generates revenue for businesses.

Consumer behavior is influenced by various factors, including personal preferences, economic conditions, marketing and advertising, social and cultural factors, and technological advancements. Businesses and marketers often study consumer behavior to understand what motivates consumers to make purchasing decisions and to develop strategies to attract and retain customers.

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How many barrels in us strategic petroleum reserve?.

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The US Strategic Petroleum Reserve is a stockpile of crude oil maintained by the United States government for emergency use during an energy crisis. As of 2021, the reserve holds approximately 634 million barrels of crude oil, making it the largest emergency petroleum reserve in the world.

The reserve is located in underground salt caverns in Texas and Louisiana and is managed by the Department of Energy's Office of Fossil Energy. The reserve's purpose is to provide a reliable supply of oil during times of supply disruptions, such as natural disasters or geopolitical conflicts. The US Strategic Petroleum Reserve is an important tool for ensuring energy security and protecting the economy from potential oil shortages.This reserve serves as an emergency stockpile to ensure the nation's energy security and reduce the negative impacts of sudden oil supply disruptions. Established in the 1970s after the oil crisis, the reserve is stored in underground salt caverns in four locations along the Gulf Coast. The maximum storage capacity is around 713.5 million barrels, making it the largest emergency oil reserve in the world. The reserve plays a crucial role in stabilizing oil markets and maintaining national energy security.

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Kohlberg's model can best be described as: A. The various phases in one's moral development and related levels of moral reasoning B. A model of ethical action that is based on one's moral development C. A predictive tool to determine how a person will reason ethically based on one's moral development D. A model of age-specific levels of moral reasoning

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Kohlberg's model can best be described as which refers to the various phases in one's moral development and related levels of moral reasoning. The correct option is A.

Kohlberg's theory proposes that moral development occurs in six stages, which are categorized into three levels.

The first level is the pre-conventional level, which involves a self-centered perspective and is characterized by obedience and punishment orientation and self-interest orientation.

The second level is the conventional level, which is focused on social relationships and is characterized by a good boy/girl orientation and a law and order orientation.

The final level is the post-conventional level, which involves a focus on broader principles and is characterized by a social contract orientation and a universal ethical principle orientation.

Kohlberg's model is not a model of ethical action that is based on one's moral development (option B) since it does not provide a clear prescription for ethical behavior but rather describes the process of moral development. Additionally, it is not a predictive tool to determine how a person will reason ethically based on one's moral development (option C) as it does not guarantee that a person will always act in accordance with their level of moral reasoning.

Finally, it is not a model of age-specific levels of moral reasoning (option D) since Kohlberg's theory suggests that moral development is not necessarily age-dependent and can occur at any point in a person's life. Hence, A is the correct option.

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you own a portfolio that has $2,300 invested in stock a and $3,300 invested in stock b. if the expected returns on these stocks are 8 percent and 11 percent, respectively, what is the expected return on the portfolio? (do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)

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The expected return on your portfolio is 9.77%.

To do this, we'll use the following formula:

Expected return on portfolio = (Weight of Stock A * Expected return on Stock A) + (Weight of Stock B * Expected return on Stock B)

First, let's calculate the weights of each stock:

Total investment in the portfolio = $2,300 (Stock A) + $3,300 (Stock B) = $5,600

Weight of Stock A = Investment in Stock A / Total investment = $2,300 / $5,600 ≈ 0.4107
Weight of Stock B = Investment in Stock B / Total investment = $3,300 / $5,600 ≈ 0.5893

Now, we can calculate the expected return on the portfolio using the given expected returns of 8% and 11% for Stock A and Stock B, respectively:

Expected return on portfolio = (0.4107 * 8%) + (0.5893 * 11%)

Expected return on portfolio = (0.4107 * 0.08) + (0.5893 * 0.11) ≈ 0.0329 + 0.0648 ≈ 0.0977

As a percentage, the expected return on the portfolio is 0.0977 * 100 = 9.77%.

So, the expected return on your portfolio is 9.77%.

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at his sales firm, merle tends to have a negative attitude and deflates his group members by being hostile toward their ideas and accomplishments. merle fills the individualistic role of

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We can deduce that Angus is acting the aggressive character based on how he interacts with his coworkers and the impact it has on them. An aggressor acts in a way that dominates and dominates others. behaves hostilely and is typically negative.

Tries to incite strife. Angus is being antagonistic to his coworkers because he wants to control people and incite conflict at work, which is what an aggressor would do. Ability to persevere in the face of challenges and failures by instilling positive sentiments in oneself. Ability to properly regulate one's emotions and impulses (including negative emotions).

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flood size can be controlled through the construction of ______, which store floodwater in reservoirs. (enter only one word per blank.)

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Answer:

Dams

Explanation:

A dam is a structure built across a stream or river to hold water back. Dams can be used to store water, control flooding, and generate electricity.

Flood size can be controlled through the construction of "dams", which store floodwater in reservoirs.

Dams are built across rivers and waterways to store and manage the flow of water. During periods of heavy rainfall, dams can control and reduce the risk of flooding by storing excess water in their reservoirs.

This stored water can then be gradually released back into the river system at a controlled rate, preventing downstream areas from being overwhelmed by large volumes of water all at once.

By controlling the flood size in this way, dams play a vital role in flood management and protection for communities and infrastructure located in flood-prone areas.

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