In a sale, the price of a tv is reduced by 25% a week later, the sale price of the tv is reduced by 15% the price of the tv is now £293.25 what was the price of the tv before the sale?

Answers

Answer 1

Customers use selling price to determine which things they can purchase. Increased overall sales-related revenue is the goal of sales-oriented pricing objectives.

Original Price = 100% - 25% = 75%

= 0.75%

Second Price = 100% - 15%

Final Price = 293.25

The sale price is what?

The amount that the buyer pays for something while it is being sold: Typically, homeowners who sold their homes on their own did not receive a greater sale price than those who used real estate agents. Calculate the total cost of all the items you bought. To calculate the cost price, divide the total cost by the quantity of units purchased. To determine the ultimate price, use the selling price formula: Cost price plus profit margin equals selling price.

To learn more about sale price from the given link.

https://brainly.com/question/7459025

#SPJ4


Related Questions

can i doit without pay

Answers

Answer:

what?

Explanation:

The total market value of Quinlan Carpet's assets is $4,750,000. The total market value of all of their debt is $850,000. The capital structure of the company is made up of only debt and common equity. There are 86,000 common shares outstanding. The company has declared a 25% stock dividend, with the ex-dividend date being tomorrow. Answer the following: All else equal, what do you expect the after-dividend price to be? Price = $ (Round your answer to 2 decimal places. Do NOT use commas (eg. 43.21) = All else equal, what will be the total ex-dividend market value of the company's equity? Market Value of Equity (ex-dividend) = $ (Round your answer to the closest dollar. Do NOT use commas (i.e. 1234567) =

Answers

The after-dividend price per share is expected to be $28.98, and the total ex-dividend market value of the company's equity will be $3,118,150.

1.25 x 86,000 = 107,500 shares

The market value of equity can be calculated as:

The market value of equity = Total market value of assets - Total market value of debt

Market value of equity = $4,750,000 - $850,000 = $3,900,000

The ex-dividend market value per share can be calculated as:

Ex-dividend market value per share = Market value of equity / Number of shares outstanding

Ex-dividend market value per share = $3,900,000 / 107,500 = $36.28

86,000 + 21,500 = 107,500 shares

The after-dividend price per share can be calculated as:

After-dividend price per share = Ex-dividend market value per share / (1 + Stock dividend percentage)

After-dividend price per share = $36.28 / (1 + 0.25) = $28.98

107,500 shares x $28.98 = $3,118,150

Market value refers to the current price at which a particular asset or company's stock is trading in the open market. It is determined by the forces of supply and demand and is based on the expectations of investors and traders about the future profitability and growth prospects of the company.

The market value of a company is influenced by a wide range of factors, including its financial performance, management team, industry trends, economic conditions, and competitive landscape. Investors and analysts use market value as a key metric to assess the overall health and prospects of a company and to make informed investment decisions. Market value can be a volatile metric and can fluctuate rapidly based on changes in market sentiment or news events.

To learn more about Market value visit here:

brainly.com/question/31593341

#SPJ4

which of the following methods is used to determine volumes at which warehousing alternatives is best

Answers

The correct method used to determine volumes at which warehousing alternatives are best is Option a) Factor Rating.

Warehousing alternatives refer to different options for storing and managing inventory within a supply chain or logistics system. Determining the most suitable volume for each warehousing alternative is crucial for efficient operations. Among the provided options, the method used for this purpose is "Factor Rating."

Factor Rating is a quantitative technique that involves assigning scores to different factors or criteria relevant to the evaluation of warehousing alternatives. These factors can include capacity, location, cost, accessibility, security, and other aspects that impact the performance and suitability of a warehouse for a particular volume of goods.

Here's how the Factor Rating method works:

1. Identify relevant factors: Determine the key factors that influence the selection of a warehousing alternative. These factors may vary depending on the specific requirements of the business or industry.

2. Assign weights: Assign weights or importance values to each factor based on their relative significance. These weights reflect the importance of each factor in the decision-making process.

3. Develop a rating scale: Create a rating scale for each factor. This scale typically ranges from 0 to 10, where 0 represents poor performance or suitability, and 10 represents excellent performance or suitability. The scale should be designed to provide a relative assessment of each alternative for a given factor.

4. Evaluate alternatives: Evaluate each warehousing alternative against the defined factors using the rating scale. Assign a score to each alternative for each factor, based on its performance or suitability.

5. Calculate weighted scores: Multiply the scores assigned to each alternative for each factor by the corresponding weights assigned in step 2. Sum up these weighted scores for each alternative.

6. Compare and select: Compare the total weighted scores for each alternative. The alternative with the highest total score is considered the most suitable for the given volume of goods.

By using the Factor Rating method, businesses can systematically evaluate and compare different warehousing alternatives based on multiple factors. This approach helps in identifying the most appropriate option for a specific volume requirement, considering factors such as capacity, cost, location, and other relevant criteria.

To know more about Warehousing here

https://brainly.com/question/23941356

#SPJ4

Complete Question

Which of the following methods is used to determine volumes at which warehousing alternatives are best?

a) Factor Rating

b) Center of Gravity calculation

c) Cost Volume Breakeven Analysis (CVBA)

d) Break-bulk justification

The general ledger account for Accounts Receivable shows a debit balance of AED 50,000 . The Allowance for Doubtful Accounts has a credit balance of AED 1.000. If management estimates that 5% of Accounts Receivable will prove uncollectible, Bad Debts Expense would be recorded for A. AED 1,500. B. AED 2.540. C. AED 2.500. D. AED 3,500 .

Answers

Bad Debts Expense would be recorded for C AED 2,500. This amount is calculated by multiplying the estimated percentage of uncollectible accounts (5%) by the Accounts Receivable balance (AED 50,000) minus the credit balance in the Allowance for Doubtful Accounts (AED 1,000).

To determine the amount of Bad Debts Expense, we need to calculate the estimated uncollectible amount based on the given information. The Accounts Receivable balance of AED 50,000 represents the total amount owed to the company by its customers. The Allowance for Doubtful Accounts is a contra-asset account used to estimate and offset the potential losses from uncollectible accounts. In this case, it has a credit balance of AED 1,000.

To estimate the Bad Debts Expense, we multiply the estimated percentage of uncollectible accounts (5%) by the net Accounts Receivable balance. The net balance is calculated by subtracting the credit balance in the Allowance for Doubtful Accounts (AED 1,000) from the Accounts Receivable balance (AED 50,000). 5% of AED 49,000 (AED 50,000 - AED 1,000) equals AED 2,450. However, since the options provided are rounded, the closest amount is AED 2,500. Therefore, Bad Debts Expense would be recorded for AED 2,500 in this scenario.

Learn more about credit balance here

https://brainly.com/question/14979968

#SPJ11

what is warehousing and a warehouse​

Answers

Answer: See explanation

Explanation:

Warehousing refers to the act of storing goods which will then be distributed later or sold. Companies normally have a room or building where they keep their goods and such place are designed for storage.

The Functions of Warehousing include:

• Storage

• Purchasing of goods

• Inventory management.

• Materials handling, and packaging.

On the other hand, a warehouse refers to the building that is used for storing goods and making them available later when they are needed.

1. Culture reigns supreme when it comes to an organization's capacity to properly implement strategy. It is important to not undervalue the role that culture plays in the successful execution of a strategy. Why is this statement relevant?
2. The success of any organization depends on the implementation of a plan and the achievement of the targeted results. Any approach cannot, however, be successfully implemented by a single person or even a small group of people. The implementation must be able to involve all of the company's employees. Organizational culture is the key in this.
3. The attitudes, viewpoints, traits, and qualities that all employees share make up an organization's culture. They are all aware that a fresh approach must be taken in order to attain greater organizational growth. Employees support the implementation of the strategy so that everyone benefits from it, not just the owners and top management. Therefore, it is important to consider the influence of culture when implementing any strategy.

Answers

This statement is relevant because culture plays a significant role in shaping the behavior, attitudes, and values of individuals within an organization. When implementing a strategy, the organization's culture can either facilitate or hinder its success.

This statement highlights the importance of involving all employees in the implementation of a strategy. Successful implementation requires collective effort, and organizational culture plays a crucial role in fostering a sense of ownership, collaboration, and engagement among employees. When the culture promotes open communication, teamwork, and a shared vision, it becomes easier to align individual efforts with the strategic objectives. Employees feel empowered, valued, and motivated to contribute their skills and knowledge towards the achievement of targeted results. This statement emphasizes that organizational culture encompasses the collective attitudes, viewpoints, and qualities of employees.

learn more about:- Successful implementation here

https://brainly.com/question/6983630

#SPJ11

The cost of retained earnings differs from the cost of a new stock issue in that: Retained earnings are free to the company while a new stock issue is not. New investors typically purchase the new shares while retained earnings belong to existing investors. A new stock issue has flotation costs while retained earnings does not. The rates of return do not differ

Answers

The key difference between the cost of retained earnings and the cost of a new stock issue is that a new stock issue incurs flotation costs, while retained earnings do not.

: a new stock issue has flotation costs while retained earnings do not.

retained earnings refer to the portion of a company's profits that are not distributed as dividends but are instead reinvested in the business. retained earnings are considered internal financing and do not involve any direct costs. they are essentially funds that already belong to the existing shareholders.

on the other hand, when a company decides to issue new shares of stock to raise additional capital, there are costs associated with the process. these costs, known as flotation costs, include expenses such as underwriting fees, legal fees, and printing costs. flotation costs reduce the amount of funds actually received by the company from the issuance of new stock.

Learn more about business here:

https://brainly.com/question/15826604

#SPJ11

Which of the following is an example of a value proposition?of the following is an example of a value proposition?
a. A cafeteria offers a low-cost buffet.
b. A local retailer carries merchandise intended for boys between the ages of 8 and 12.
C. A manufacturer produces display cases that it markets to large organizationcases
d A janitorial service targets public schools in the local county.anitorial service targets public schools in the local county.

Answers

The following is an example of a value proposition:  A manufacturer produces display cases that it markets to large organizations. Option c is correct.

A value proposition is a statement that explains what value a product or service provides to its customers. It typically includes the benefits or advantages of the product or service, and why customers should choose it over other options. In the example given, the manufacturer's value proposition is that they produce display cases that are specifically designed for large organizations. This implies that the display cases are tailored to meet the needs of these organizations, and may have features or benefits that are not available with other display cases. By marketing their product in this way, the manufacturer is highlighting the value that their product provides to customers in this specific market segment.

A value proposition is a key component of a business or marketing strategy, as it helps to differentiate a product or service from its competitors and communicate its unique value to customers. A well-crafted value proposition can help to attract new customers, retain existing ones, and build brand loyalty.

Learn more about display here:

https://brainly.com/question/13532395

#SPJ11

marcus finds that a check written by a customer and deposited has not yet been posted

marcus finds that a check written by a customer and deposited has not yet been posted

Answers

b is the correct answe

an increase in the personal tax rate is likely to increase the debt ratio of the average corporation

Answers

An increase in the personal tax rate is not directly expected to impact the debt ratio of the average corporation.

The debt ratio of a corporation is a financial metric that measures the proportion of a company's debt in relation to its total assets. It is primarily influenced by factors such as the company's borrowing decisions, capital structure, profitability, and investment activities.

While personal tax rates can indirectly affect the financial health of corporations and the overall economy, their impact on the debt ratio is not straightforward. Higher personal tax rates can potentially influence consumer behavior and disposable income, which in turn can impact consumer spending and demand for goods and services.

This can indirectly affect corporate profits and, consequently, the ability of corporations to service their debts.

However, the relationship between personal tax rates and corporate debt ratios is complex and depends on various factors, including the specific tax policies, the overall economic conditions, and the behavior of individual corporations. It is important to note that corporate taxes and personal taxes are separate entities, and changes in personal tax rates do not directly alter the debt obligations or borrowing decisions of corporations.

To fully understand the potential impact of personal tax rate changes on the debt ratio of corporations, a comprehensive analysis of the specific tax policies, economic context, and corporate financial decisions would be necessary.

Learn more about debt ratio :

brainly.com/question/30585935

#SPJ11

One of the advantages of working for a company instead of being an entrepreneur is that:

Multiple choice question.

you have the freedom to make the decisions that control the business


you own the profits made by the business


the company assumes the entrepreneurial risk of failure


you assume the entrepreneurial risk of failure

Answers

Answer:

g

Explanation:

the best way to address a natural monopoly without dismantling the economies of scale is

Answers

The best way to address a natural monopoly without dismantling the economies of scale is through regulation and oversight. Natural monopolies arise when a single firm can provide goods or services more efficiently than any potential competitors due to factors such as high fixed costs and limited resources.

However, this can lead to the exploitation of consumers through high prices and limited choices.

Regulation can ensure that natural monopolies operate in the public interest by setting prices that are reasonable and preventing anti-competitive practices. Oversight can also ensure that the natural monopoly does not abuse its market power or engage in discriminatory practices. This can be done through a regulatory agency or through the legal system.

Another solution is to introduce competition through targeted deregulation or allowing entry of new firms into the market. However, this may not always be possible or desirable due to the high fixed costs associated with the industry.

In conclusion, regulation and oversight are effective ways to address natural monopolies without disrupting the economies of scale. These measures ensure that the market operates in the public interest while still allowing the natural monopoly to take advantage of its efficiencies.
The best way to address a natural monopoly without dismantling the economies of scale is through regulation and oversight by government agencies. In a natural monopoly, a single firm can supply a good or service to an entire market at a lower cost than multiple competing firms due to economies of scale. While this results in cost efficiency, it can also lead to a lack of competition and potential exploitation of consumers.

To protect consumers and maintain fairness in the market, the government can implement various regulatory measures. One common approach is price regulation, where a government agency sets a maximum price that the natural monopoly can charge for its goods or services. This ensures that the firm does not take advantage of its dominant position by charging excessively high prices.

Another approach is performance-based regulation, which sets specific standards for the quality and reliability of the service provided by the natural monopoly. This encourages the firm to maintain a high level of service and prevents it from reducing service quality to cut costs.

Lastly, the government can enforce transparency and reporting requirements, obligating the natural monopoly to provide accurate and timely information about its operations and financial performance. This allows regulators and the public to monitor the company's activities, ensuring it acts responsibly and in the best interest of consumers.

In summary, addressing a natural monopoly without dismantling economies of scale can be achieved through a combination of price regulation, performance-based regulation, and transparency measures. These regulatory tools help maintain a balance between the efficiency gains of a natural monopoly and the need to protect consumers and maintain fair competition in the market.

To know more about monopoly visit:

https://brainly.com/question/32071765

#SPJ11

Laurel contributed equipment worth $200,000, purchased 10 months ago for $250,000 cash and used in her sole proprietorship, to Sand Creek LLC in exchange for a 15 percent profits and capital interest in the LLC. Laurel agreed to guarantee all $15,000 of Sand Creek’s accounts payable, but she did not guarantee any portion of the $100,000 nonrecourse mortgage securing Sand Creek’s office building. Other than the accounts payable and mortgage, Sand Creek does not owe any debts to other creditors.a. What is Laurel’s initial tax basis in her LLC interest?

b. Laurel’s holding period in the partnership interest begins the day the LLC interest is acquired. True or False?c. What is Sand Creek’s initial basis in the contributed property?

d. What is Sand Creek’s holding period in the contributed property?

Answers

Answer: See explanation

Explanation:

a. What is Laurel’s initial tax basis in her LLC interest?

This will be the addition of the $250,000 basis for the equipment, accounts payable of $15,000 and also the $15,000 (15% × $100,000). This will be:

= $250,000 + $15,000 + $15,000

= $280,000

b. True.

Laurel’s holding period in the partnership interest begins the day the LLC interest is acquired. This is due to the fact that the asset contributed isn't a section 1232 asset. The reason for this is due to the fact that the asset was used for a year or less.

c. Sand Creek’s initial basis in the contributed property is $250,000.

d. Ten months.

Sand Creek’s holding period in the contributed property will be 10 months.

Please help me I know how to do them i just want to make sure im correct

Please help me I know how to do them i just want to make sure im correct

Answers

The amount of interest that we will you receive annually on a 7% coupon rate bond with a $1,000 face value equals to $70.

How much interest will we receive?

We can calculate the dollar amount of the interest rate by multiplying the bond's face value by its coupon interest rate. To calculate the annual interest on a bond with a 7% coupon rate and a $1,000 face value, you simply multiply the face value by the coupon rate.

Annual interest = Face value x Coupon rate

Annual interest = $1,000 x 0.07

Annual interest = $70

Therefore, you would receive $70 in annual interest on a 7% coupon rate bond with a $1,000 face value.

Read more about annual interest

brainly.com/question/25793394

#SPJ1

If ashley worked for herself as a web designer and could get additional work that paid $18 per hour, how much would it be worth to her family (before taxes) each year, if she could free up 2 hours per week by having a washer and dryer at home?.

Answers

By having a washer and dryer at home, Ashley would be able to free up 2 hours per week that she could then use to take on additional work at $18 per hour, which would be worth $36 per week or $1,872 per year (before taxes) to her family.

The cost of an opportunity is the benefit that must be given up in order to pursue that opportunity. In this case, the opportunity is the additional work that Ashley could take on as a web designer, and the cost is the time she would have to spend on laundry if she didn't have a washer and dryer at home.

If Ashley worked for herself as a web designer and could get additional work that paid $18 per hour, and she could free up 2 hours per week by having a washer and dryer at home, it would be worth

$18 x 2 = $36 per week or

$36 x 52 = $1,872 per year (before taxes) to her family.

Learn more about cost of an opportunity: https://brainly.com/question/13036997

#SPJ4

A strategy of ________ will be most beneficial for a firm to enhance its overall corporate performance.

Answers

Answer:

A strategy of related-linked diversification will be most beneficial for a firm to enhance its overall corporate performance.

The main types of markets are called _____.

residential
consumer
industrial
customer

Answers

The main types of markets are called industrial
The main types of markets are industrial

In a purchases-payables computer system, a purchase order is created after which document has been processed?

Answers

In a purchases-payables computer system, a purchase order is created after which document has been processed?

Talk to a 40-year-old business professional with a family that includes a spouse and children. This person can be a family member, friend, or mentor. List and describe the savings, investments and risk management strategies for this phase of life. Describe how financial planning has changed from the earlier phase of life.


If you do not answer and put a blank answer I will report

Answers

The financial planning will differ for the person according to their age. A person who is 40 years older would have money only from his savings. The 40-year-old person is retired and would only have money available for living from the saving he had made while he was working.

The risk management officer should consider the investments by considering his available savings. He should also consider the money required for living as there is no other source of income. The risk appetite for such an old-aged individual will be low. He must be risk averse in the situation of retirement. The financial planning strategies change for the person over the different phases of life. When a person is young and starts the job at age of 25 he might take excessive risks for getting extra returns. He is young and energetic and has the ability to work part-time along with his routine job to earn extra money.

Learn more about financial planning here

https://brainly.com/question/12890843

#SPJ1

withdrawn rs 1000 on a permanent basis out of capital.​

Answers

Answer:

withdraw a/c...........Dr           1000

         To cash a/c                           1000

Explanation:

What is the purpose of a design brief?

Answers

A project management document that allows you to identify the scope, scale, and core details of your upcoming design project.

Fingen's 18-year, $1,000 par value bonds pay 13 percent interest annually. The market price of the bonds is $1,080 and the market's required yield to maturity on a comparable-risk bond is 10 percent. a. Compute the bond's yield to maturity. b. Determine the value of the bond to you, given your required rate of return. c. Should you purchase the bond?

Answers

Answer:

A: The bond's yield until maturity is roughly 14.16%.

B: Given your required rate of return of 12%, the bond is worth approximately $1,088.71 to you.

C: This choice is also influenced by other elements like your financial objectives, risk tolerance, and market conditions.

Explanation:

a. To calculate the yield to maturity (YTM) of the bond, we need to solve for the discount rate that makes the present value of the bond's cash flows equal to its market price. The cash flows include the annual interest payments of $130 (=$1,000 × 13%) and the $1,000 principal payment at maturity. Using a financial calculator or spreadsheet, the YTM can be calculated as follows:

PV = -$1,080

PMT = $130

FV = $1,000

N = 18

I/Y = 14.16%

Therefore, the yield to maturity of the bond is approximately 14.16%.

b. To determine the value of the bond to you, we need to calculate its present value using your required rate of return as the discount rate. Let's assume that your required rate of return is 12%. Using a financial calculator or spreadsheet, the value of the bond can be calculated as follows:

PV = ?

PMT = $130

FV = $1,000

N = 18

I/Y = 12%

PV = $1,088.71

Therefore, the value of the bond to you, given your required rate of return of 12%, is approximately $1,088.71.

c. Since the market price of the bond is below its value to you, it may be a good investment opportunity.

However, this decision also depends on other factors such as your investment goals, risk tolerance, and the overall market conditions. You should also consider the creditworthiness of the bond issuer and the potential risks associated with the bond before making an investment decision.

For more such questions on rate of return, click on:

https://brainly.com/question/1789817

#SPJ11

limited-assortment supermarkets are also called:
A. extreme-value food retailers.
B. full-line discount stores.
C. conventional supermarkets.
D. consignment shops.
E. warehouse clubs.

Answers

Limited-assortment supermarkets are also referred to as extreme-value food retailers. These types of supermarkets offer a limited selection of products, with a focus on providing customers with lower-priced options. Extreme-value food retailers are known for their ability to keep prices low by purchasing products in bulk and minimizing their assortment.

This business model has been popularized by German retailers like Aldi and Lidl and has since spread globally.
In contrast, conventional supermarkets offer a wider assortment of products, including brand-name items and specialty goods. Full-line discount stores, such as Walmart or Target, are retailers that offer a wide range of products, including food, clothing, electronics, and household items. Warehouse clubs, like Costco or Sam's Club, offer a limited selection of products, but in larger quantities and at lower prices.

Limited-assortment supermarkets have become increasingly popular due to their ability to provide customers with lower prices on essential goods. While these retailers may not offer the same variety as conventional supermarkets, they make up for it with their affordability. As the retail industry continues to evolve, it's likely that we'll see more extreme-value food retailers popping up in neighborhoods around the world.

Learn more about Extreme-value food retailers, below:

https://brainly.com/question/13935939

#SPJ11

goods taken by the proprietor for domestic purpose of Rs.15000​
Journal entries
plz help me

Answers

Explanation:

Given:

Amount of goods taken by proprietor = Rs. 15,000

Find:

Journal entry

Computation:

                                Books of (.... ltd)

Journal entry

Particular                                                 Debit    Credit

Drawing                        A/c Dr             15,000

To Purchase                 A/c Cr                            15,000

(Being goods taken by proprietor for personal use)

a chart of the organization's net income after taxes over the past four years is an example of:

Answers

A chart of the organization's net income after taxes over the past four years is an example of information. Therefore, the correct option is B.

A chart of an organization's net income after taxes over the past four years presents a meaningful and organized collection of data that is relevant to decision-making. The chart provides a clear picture of the organization's financial performance over time, making it easier for stakeholders to identify trends and patterns, and to make informed decisions based on the information presented.

Therefore, the chart represents processed data that has been transformed into a useful format, which qualifies as information which corresponds to option B.

An expert system is a computer program designed to provide expert-level knowledge and decision-making capabilities, which is not applicable in this context. Facts are raw data that have not been processed or organized in any meaningful way. Information distortion refers to the intentional or unintentional manipulation of data to misrepresent reality.

Note: The question is incomplete. The complete question probably is: A chart of the organization's net income after taxes over the past four years is an example of: A. data. B. information. C. an expert system. D. facts. E. information distortion.

Learn more about Net income:

https://brainly.com/question/28390284

#SPJ11

For my personal finance class

Which of the following is an example of the paradox of value?

a. You might choose an inflatable raft over a luxury car if you are adrift at sea

b. You might choose a diamond over a bottle of water if you really love dressing up

c. You might choose a hamburger over a veggie burger at a fast-food restaurant

d. You might choose a pair of socks over a hat if you are feeling cold

Answers

Answer:

b because diamonds dressing up

Expected return and standard deviation. Use the following information to answer the questions a. What is the expected return of each assel? b. What are the variance and the standard deviation of each asset? c. What is the expected return of a portfolio with equal investment in all three assets? d. What is the portfolio's variance and standard deviation using the same asset weights in party? Hint Make sure to round all intermediate calculations to at least seven (7) decimal places.

Answers

Expected return (or expected return on investment) is a concept in finance that measures the expected profit or loss from an investment over a period of time.

It is usually expressed as a percentage and is calculated by taking the expected rate of return of an asset and then discounting for any risk associated with that asset.

Standard deviation is a measurement of how spread out a set of numbers is from its average. It indicates the degree of variability or dispersal of a set of data values around the mean. The higher the standard deviation, the more dispersed the values are from the mean. Standard deviation is often used to measure investment risk.

a. The expected return of each asset is calculated as the sum of the probability of each outcome multiplied by the return of that outcome.

For Asset A, the expected return is (0.2 * -10%) + (0.4 * 5%) + (0.4 * 15%) = 7%. For Asset B, the expected return is (0.2 * -5%) + (0.5 * 10%) + (0.3 * 20%) = 11.5%. For Asset C, the expected return is (0.2 * -20%) + (0.3 * 0%) + (0.5 * 25%) = 17.5%.

b. The variance of each asset is calculated by summing the squared differences between each probability multiplied by its return and the expected return, all divided by the total number of outcomes. For Asset A, the variance is (((0.2*(-10%-7%))^2 + ((0.4*(5%-7%))^2 + ((0.4*(15%-7%))^2)) / 3 = 0.0444. The standard deviation of Asset A is the square root of the variance, which is 0.21. For Asset B, the variance is (((0.2*(-5%-11.5%))^2 + ((0.5*(10%-11.5%))^2 + ((0.3*(20%-11.5%))^2)) / 3 = 0.0111. The standard deviation of Asset B is the square root of the variance, which is 0.105. For Asset C, the variance is (((0.2*(-20%-17.5%))^2 + ((0.3*(0%-17.5%))^2 + ((0.5*(25%-17.5%))^2)) / 3 = 0.0167. The standard deviation of Asset C is the square root of the variance, which is 0.129.

c. The expected return of a portfolio with equal investment in all three assets is calculated as the weighted average of the expected return of each asset. The expected return of the portfolio is (0.33 * 7%) + (0.33 * 11.5%) + (0.33 * 17.5%) = 12.5%.

d. The variance of a portfolio with equal investments in all three assets is calculated as the sum of the weighted variance of each asset. The variance of the portfolio is (0.33^2 * 0.0444) + (0.33^2 * 0.0111) + (0.33^2 * 0.0167) = 0.0104. The standard deviation of the portfolio is the square root of the variance, which is 0.102.

Know more about portfolio here

https://brainly.com/question/13924933#

#SPJ11

Find an article dealing with an opinion poll on a local, state ,or national issue. Write a paragraph summary of when and how the poll was conducted, and what the results indicated.

Answers

Here is an article from CNN about a recent national opinion poll on the United States' response to the COVID-19 pandemic:

According to a CNN poll conducted in early February 2021, 69% of Americans approve of President Joe Biden's handling of the COVID-19 pandemic. The poll was conducted by SSRS, a research firm that specializes in survey research. The poll surveyed 1,004 adults across the United States and had a margin of error of plus or minus 3.7 percentage points. The poll also found that 60% of Americans believe that the worst of the pandemic is yet to come, despite the country's recent progress in vaccine distribution. Additionally, 93% of respondents said they have worn a mask in public in the past week, a sharp increase from similar polls conducted last year. The poll's results indicate that the majority of Americans are supportive of the current administration's efforts to combat the ongoing pandemic

Terrance has just signed a contract with a bank to get a loan to buy a new house. What is TRUE about this contract? A. Both the bank and Terrance share power of attorney. B. Terrance has participated in a guarantee of gain. C. Both parties now have an obligation to their agreement. D. Terrance is required to submit a verbal agreement.

Answers

Answer: C. Both parties now have an obligation to their agreement.

Explanation:

When parties get into a contract, they have a legal obligation to each other to fulfill their part of the agreement or the other party will be able to seek redress in a court of law.

Terrance and the bank are now parties to an agreement to provide Terrence with a loan to buy a house. The bank will have to fulfill this obligation by giving Terrence the loan and Terrence will fulfill his side of the agreement by making payments as stipulated in the loan covenant.

Another name for a negotiated labor-management agreement is a?

Answers

Another name for a negotiated labor-management agreement is a Collective bargaining agreement (CBA).

What is Collective bargaining agreement ?

Collective bargaining agreement  can be regarded as the  contract which encompass  results of the negotiations that exist between the employer and the union.

Therefore, Another name for a negotiated labor-management agreement is a Collective bargaining agreement (CBA).

Learn more about agreement at

https://brainly.com/question/375033

#SPJ1

Other Questions
Technological knowhow is a typical entry barrier in industries:Question 28 options: that are embryonic.that are mature.without absolute cost advantages.where economies of scale exist. What is a trust like? 4. Which of the following is a learning benefit associated with action-based video games that was mentioned in the unit? 32. True or false: Grendel's Mother avenges her son's death by killingHrothgar's queen.* of the 5 purposes of punishment listed in your readings for this week, which do you believe are the most important to the prevention of crime and promoting a civil society? Within police departments, there is a focus on the status of individuals as opposed to their behavior. Training officers [TOs] teach recruits what to look for in terms of potential danger, and officers tell each other stories about things they have seen that mark individuals as dangerous. This can be referred to as:Group of answer choicescriminal motivationcriminal intentpolice interactioncriminal blindness The developments described in this passage most clearly reflect with of the following? 3-2(x + 1)=2x-7SOLVE AND HOW MANY SOLUTIONS ? Three resistors, 4.0-, 8.0-, 16-, are connected in parallel in a circuit. What is the equivalent resistance of this combination of resistors? Show step by step solution A) 30 B) 10 C) 2.3 D) 2.9 E) 0.34 which of the following examples illustrates a fragment, run-on (or fused) sentence, or comma splice? group of answer choices the band arrived late, not surprisingly, the bar was just closing when they arrived. when the band--late again--arrived for its gig, the bar was just closing. the band was so late for its gig that the bar was just closing when they arrived. the band was late for its gig; indeed, the bar was just closing when they arrived. 11. Adiding eneray prices to the AS cunve In this problem, we tncorporate the price of energ inputs (eg., olt) explictll into the AS curve Suppose the price-setting equation is gtven by P=(1+m)W n P b where P E ts the price of energy resources and 0 is the marginal cost function that would restulf from the production technolow; Y=N a E 1 , where N is employed labor and E represents unfts of eneray resources used in production. As in the taxt, the wage-setting relation is given by W=peR(u,z) Make sure to distingutsh between P E , the price of energ resources, and Pe, the expected price level for the economy as a whole a. Substitute the wage-setting relation into the price-setting relation to obtatn the aggregate supply relation. b. Let x=P E /P, the real price of energy. Observe that Px=P ER and substitute for P E in the AS relation you dertved in part (a). Solve for P to obtain P=P e (1+m) 1/u F(u,z)x (1m)/w c. Graph the AS relation from part (b) for a given P and a given x. d. Suppose that P=Pe. How will the natural rate of unemployment change if x, the real price of energy, increases? [Hink You can solve the AS equation for x to obtatn the answer, or you can use your intultion. If P=P , how must F(u,z) change when x increases to matntain the equality in part (b)? How must u change to have the required effect on F(u,z) ?] what must a type iii marine sanitation device have when boating on inland waters? GET BRAINLIEST IF YOU ANSWER THESE QUESTIONS!!1.What were the names of the two great civilizations that the Spanish conquered whose territory is located in present day Mexico and Peru? 2.Short Answer: Based on what you have learned from this unit on European Exploration, explain how exploration can lead to both positive and negative effects for different populations/nations. (Use examples in your answer.) The forced expiratory volume (FEV1) is observed for ten patients before and after a certain intervention. Test whether there is a significant (10 Marks) 20 Before 0.59 1.24 1.25 0.84 1.66 1.41 1.82 1.49 1.89 1.17 After 0.67 1.33 1.32 0.75 1.7 1.39 1.5 1.53 1.81 1.16 (Table value: 2.262) PLEASE NEED HELP ASAP IM GIVING ALL MY POINTS THIS SHOULD BE A EASY QUESTION. a truck drove at an average rate of 45 miles per hour on the highway and 20 miles per hour one it entered the city. If it made the 100 mile trip in 3 hrs , how much of the trip is in the city If you hear in the news that the Federal Reserve conducted open-market sales, then you should expect Jay earns $8 an hour when he works at his uncles store. He earns $9 an hour when he does yard work for his neighbor. Which expression represents the total amount he will earn in a week when he works u hours at his uncles store and v hours doing yard work for his neighbor?8 u + 9 v8 (u minus v) + 9 (v minus u)17 u v17 (u + v) Consider the brown quadrilateral (left) to be the original.The pink quadrilateral (middle) is a reflection over the pink dashed line.The green quadrilateral (right) is a reflection of the pink (middle) over the green dashed line. 1.) Is there a consistent relationship?2.) Is there a certain time when a relationship does or does not exist? When is that?3.) How can you change the degree of the rotation?4.) How could you create a 180-degree rotation?This is what I have so far, but I am not sure how to answer 1 and 2:Because the green is a reflection of a reflection, it is in the same reflective orientation as the original, despite not being in the same rotational orientation. The pink shape is in a reflective orientation that is the opposite of both the original and the final.By changing the green-colored line of reflection direction, you can change the green triangle's rotation. The same things happens when you change the direction of the pink line of reflection, but the green shape rotates relative to the rotation of the pink one in this scenario.If you change the direction of the green reflection line by moving the two points shown on it represented with "X", it is possible to place the green shape on top of the brown one. This is done by lining the green line exactly with the pink one.There is a relation between lines of reflections and the rotation of the final image. By changing the direction of the line of reflections, you change the rotations of the shapes affected by these lines. To create a 180 rotation with the final shape, or the green one, you need to make the green reflective line perpendicular to the pink reflective line. This makes the green shape have a 180 rotation relative to that of the pink one. To change the degree of rotation, you must change the direction of the reflective lines. 18dp - 17b + 17dm - 14dm - 3b + 12dp - 12b