The stock of Business Adventures sells for $50 a share. Its likely dividend payout and end-of-year price depend on the state of the economy by the end of the year as follows:
Dividend Stock price
Boom $3.00 $60
Normal economy 1.20 58
Recession .75 49
Calculate the expected holding-period return and standard deviation of the holding-period return. All three scenarios are equally likely.

Answers

Answer 1

Solution :

Holding Period return is given by :

Holding period return \($=\frac{\text{ending value - beginning value + dividend income}}{\text{beginning value}}$\)

Now the holding the period return for the various cases :

Boom

Ending stock price = $ 60

Beginning stock price = $ 50

Dividend income = $ 3

Hence, holding period return is \($=\frac{60-50+30}{50}$\)

                                                      = 0.26

So, the holding period return = 26%

Normal economy

Ending stock price = $ 58

Beginning stock price = $ 50

Dividend income = $ 1.2

Hence the holding period return \($=\frac{58-50+1.2}{50}$\)

                                                      = 0.184

So, the holding period return = 18.4%

Recession

Ending stock price = $ 49

Beginning stock price = $ 50

Dividend income = $ 0.75

Hence the holding period return \($=\frac{49-50+0.75}{50}$\)

                                                      = -0.005

So, the holding period return = -0.5%

As all the cases, the probability is same = 0.333

Therefore, the expected holding period return is :

The expected holding period return = (0.333 x 0.26) + (0.333 x 0.184) + (0.333 x -0.005)

                                                           = 0.8658 + 0.06127 - 0.00166

                                                           = 0.149515

Therefore, the expected holding period return = 14.95%


Related Questions

Leonard Technologies invests $ 62,000 to acquire $ 62,000 face​ value, 8​%, fiveminusyear corporate bonds on December​ 31, 2014. The bonds will mature on December​ 31, 2019. The bonds pay interest semiannually on December 31 and June 30 every year until maturity. Assume Leonard Technologies uses a calendar year. Based on the information​ provided, which of the following will be included in the journal entry for the transaction on December​ 31, 2018?

a. a debit to Interest Revenue for $5,400
b. a credit to Interest Revenue for $2,700
c. a debit to Interest Revenue for $2,700
d. a credit to Interest Revenue for $5,400

Answers

Answer:

Find attached correct question that matches the options provided in this question:

The correct option is B, a credit to Interest Revenue for $2,700

Explanation:

The semiannual coupon interest receivable from the bond investment is the face value of $54,000 multiplied by 10% adjusted to reflect a six month revenue rather than a year a shown below:

semiannual interest receipt=$54,000*10%*6/12=$2,700

The $2,700 would be debited to cash as an income while also being credited to interest revenue ,hence option B is correct

You decide to decrease the price of your product to increase total sales revenue, because you believe your product's demand is

A) perfectly inelastic
B) unit elastic
C) price elastic
D) price inelastic

Answers

Answer:

C) price elastic.

Explanation:

reason to connect to the same file several time

Answers

Answer:

a file is a collection of related information stored to gather on some storage devices

Recently, "de-dollarization" has become a hot topic of global discussion. Recently, a Chinese think tank published an article saying that the trend of global de-dollarization has become very clear, and many countries in the world are working hard to reduce their dependence on the US dollar. The main driving force for this trend is my country's weaponization of its currency through excessive sanctions.

Answers

De-dollarization, or the reduction of dependence on the US dollar in global financial transactions, has indeed gained attention in recent years. While it is true that some countries are actively working to diversify their currency holdings and reduce reliance on the US dollar, it is essential to consider multiple factors that contribute to this trend.

One of the factors that have led to discussions about de-dollarization is the use of economic sanctions by the United States. Economic sanctions can be a powerful tool for a country to exert pressure on another nation, but they can also have unintended consequences. When the US imposes sanctions, it often restricts access to the US financial system, which is heavily reliant on the US dollar. This has prompted some countries to explore alternative methods of conducting international trade and finance to mitigate the impact of sanctions.

China, as a rising economic power, has been at the forefront of efforts to promote de-dollarization. It has taken steps to internationalize its currency, the yuan (also known as the renminbi), and has established currency swap agreements with various countries to facilitate trade settlements in yuan. Additionally, China has been promoting the use of its currency in international transactions through initiatives like the Belt and Road Initiative, which aims to enhance trade connectivity and financial integration among participating countries.

While weaponization of the US dollar through sanctions is indeed a contributing factor to the de-dollarization trend, it is not the sole driver. Other factors include concerns about the long-term stability of the US dollar, efforts by countries to reduce vulnerability to currency fluctuations, and geopolitical considerations. Some countries view de-dollarization as a way to enhance their economic and financial sovereignty, diversify risk, and reduce exposure to potential US policy changes.

It is important to note that the process of de-dollarization is gradual and complex. The US dollar still remains the dominant global reserve currency and the primary currency for international trade. The global financial system has deep-rooted structures and networks that make a rapid shift away from the US dollar challenging. However, as various countries seek to reduce their dependence on the US dollar, we can expect ongoing discussions and actions related to de-dollarization in the global economic landscape.

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Vulcan Flyovers offers scenic overflights of Mount St. Helens, the volcano in Washington State that explosively erupted in 1982. Data concerning the company’s operations in July appear below:

Vulcan Flyovers Operating Data For the Month Ended July 31

Actual Results Flexible Budget Planning Budget
Flights (q) 57 57 55
Revenue ($340.00q) $16,400 $19,380 $18,700
Expenses:
Wages and salaries ($3,600 + $87.00q) 8,525 8,559 8,385
Fuel ($34.00q) 2,100 1,938 1,870
Airport fees ($870 + $34.00q) 2,693 2,808 2,740
Aircraft depreciation ($9.00q) 513 513 495
Office expenses ($230 + $1.00q) 455 287 285
Total expense 14,286 14,105 13,775
Net operating income $2,114 $5,275 $4,925

The company measures its activity in terms of flights. Customers can buy individual tickets for overflights or hire an entire plane for an overflight at a discount.

Required:
Prepare a flexible budget performance report for July that includes revenue and spending variances and activity variances.

Answers

Answer:

1. Revenue and Spending Variance

Revenue  = (19,380 - 16,400) = 2980 U

Expenses

Wages & Salaries = 8,559 - 8,525 = 34 U

Fuel  =  1,870 - 1,938 = 68 F

Airport Fees =  2,808 - 2,693 = 115 U

Aircraft Depreciation = 0 None

Office Expenses =  287 - 455 = 168 F

Total Expenses = 87 F

Net Operating Income = 5,275 - 2,114 = 3161 U

2. Activity Variances  

Activity Variances are used to compare revenue and cost item between the planning budget and flexible budget of the company.

Revenue = 18,700 - 19,380 = 680 U

Expenses

Wages and salaries = 8,385 - 8,559 = 174 U

Fuel = 1,870 - 1,938 = 68 U

Airport fees = 2,740 - 2,808 = 68 U

Aircraft depreciation = 495 - 513 = 18 U

Office expenses = 285 - 287 = 2 U

Total expense = 330 U

Net operating income = 4,925 - 5,275  = 350 U

what is the difference between hire purchase and differed payment?​

Answers

Explanation:

In deferred payment, the borrower will agreed to pay certain amount of money on the promised date. ... In hire purchase, the purchaser will be getting the belongings without paying the full price of the item. The purchasers would make down payment and the balance is paid in installments.

Explanation:

Hire purchase is a system by which one pays for a thing in regular installments while having the use of it but deferred payments are payments that are completely or partially postponed for financial reasons

Which method of cash distribution carries more informational content when its announcement is made: the cash dividends or the stock repurchase

Answers

Answer:

cash dividend

Explanation:

According to signalling theory, payment of dividends communicate management's earnings forecast. Thus dividend payment provide information about the health of a company to its investors.

DOES ANYONE HAVE A CAMERA?

Answers

Answer:

yes, why?

Explanation:

Answer:

indeed i do, i use a photography camera that my father gave me years ago after he retired from national geographic.

Explanation:

Which of the following statements is the primary reason why the
company emphasizes the importance of ethical behavior?
It helps the company build trust and maintain our positive reputation.
It directly improves the quality of the products we manufacture and sell.
It streamlines our operations and allows us to do more with less.
It provides us with opportunities to lower our prices in certain markets.

Answers

The statements which serves as the primary reason why the company emphasizes the importance of ethical behavior is that It helps the company build trust and maintain our positive reputation.

What are ethical behavior?

Ethical behavior can be described a the behaviors that follows the ethics which serves as the guidelines as well as the rules that is been set up by the firm in caring out their daily operation in the firm.

It should be noted that these behaviors could be integrity, honesty however they are very essential so that the company can build trust  as well as good reputation.

Therefore, the first option is correct.

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Quantitative Problem: Rosnan Industries' 2019 and 2018 balance sheets and income statements are shown below.


Balance Sheets

2019 2018

Assets

Cash and equivalents $100 $85

Accounts receivable 275 300

Inventories 375 250

Total current assets $750 $635

Net plant and equipment 2,300 1,490

Total assets $3,050 $2,125

Liabilities and Equity

Accounts payable $150 $85

Accruals 75 50

Notes payable 150 75

Total current liabilities $375 $210

Long-term debt 450 290

Total liabilities 825 500

Common stock 1,225 1,225

Retained earnings 1,000 400

Common equity 2,225 1,625

Total liabilities and equity $3,050 $2,125



Income Statements

2019 2018

Sales $2,265 $1,565

Operating costs excluding depreciation and amortization 1,250 1,000

EBITDA $1,015 $565

Depreciation and amortization 100 75

EBIT $915 $490

Interest 63 46

EBT $852 $444

Taxes (25%) 213 111

Net income $639 $333


Dividends paid $54 $48

Addition to retained earnings $585 $285


Shares outstanding 100 100

Price $25.00 $22.50

WACC 10.00%


The balance in the firm's cash and equivalents account is needed for operations and is not considered "excess" cash.


Using the financial statements given above, what is Rosnan's 2019 free cash flow (FCF)? Use a minus sign to indicate a negative FCF. Round your answer to the nearest cent.

Answers

The 2018 free cash flow for Rosnan Industries is $158. The balance sheet was the based on the Rosnan Industries' 2019 and 2018.

Particular                                                              2018                 2019

Current Asset                                                       $635                $750

Current Liability                                                   $135                  $255

Net working capital                                             500                    525

Net increases in working capital                                                    25

The capital expenditure is made are computed:

Ending balance of fixed asset                                                    2300

Add: Depreciation                                                                          100

Less: Begging of fixed amount                                                   1490

Capital expenditure:                                                                     910

Net income:                                                                                 677

Add: Depreciation                                                                       100

Less: Capital expenditure                                                           -910

Less: Net increases in Net WC                                                    -25

Free cashflow                                                                              -158

The 2018 free cash flow for Rosnan Industries is $158.

As a result, the significance of the Rosnan Industries' 2019 and 2018 balance sheets are the aforementioned.

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need help in these question​

need help in these question

Answers

Answer:

one sec i can help

Explanation:

what is economic?where it's used in?

Answers

Answer:

Economics is "the social science that studies the production, distribution, and consumption of goods and services." Economics focuses on the behaviour and interactions of economic agents and how economies work.

Explanation:

internet definition ^

As a result of a review and aging of accounts receivable in early January 2018, it has been determined that an allowance for doubtful accounts of $16700 is needed at December 31, 2017. What amount should Swifty record as "bad debt expense" for the year ended December 31, 2017?

Answers

Answer:

The full question is "The following information is available for Murphy Company Allowance for doubtful accounts at December 31, 2018 Credit sales during 2019 Accounts receivable deemed worthless and written off during 2019 $ 24,000 1,200,000 27.000 As a result of a review and aging of accounts receivable in early January 2018, it has been determined that an allowance for doubtful accounts of $16,000 is needed at December 31, 2018 What entry will Murphy make to record "bad debt expense" for the year ended December 31, 2017"

                  Journal Entry for the bad debt expenses

Date       Account Title and Explanation    Debit    Credit

Dec 31    Bad Debt Expense                      $19,000

               ($16,000 + $3,000)

                      Allowance for Doubtful Accounts      $19,000

               (To record bad debt expense)

Workings

                          Allowance for Doubtful Account

Write off  $27,000                        $24,000   Beginning balance

Unadjusted balance  $3,000    

                                                      $19,000   Adjustment

                                                      $16,000  Ending balance

                 Bad Debt Expenses

Beginning balance     $0

Adjustment                  $19,000

Ending balance           $19,000

Felicia has sent a memo to her employee, Ben, to schedule Ben's performance review. Which choice best
describes Felicia in this communication scenario?
O a barrier to the message
O a paraphraser of the message
o the receiver of the message
the sender of the message

Answers

Answer:

Option no. 3

This is the answer

Answer:

3. the sender of the message

Explanation:

edge 2021

Question 3: MNG4801/102/0/2023 3. Critically discuss the difference between the inside-out versus outside-in perspectives when managing strategically. As part of your discussion, identify which one of these perspectives was prioritized by Theo Baloyi when he first started his business and then apply it to the Bathu Shoes case study. You need to support your discussion by integrating the relevant theory in your discussion with practical examples from the case study.​

Answers

The inside-out versus outside-in perspectives are two different approaches to managing strategically. The outside-in perspective is supported by the market-oriented strategic planning approach.

Discuss the inside-out versus outside-in perspectives?

The inside-out approach centers around a company's strengths and capabilities, leveraging them in the market to identify opportunities. Upon starting his business, Bathu Shoes, Theo Baloyi embraced this perspective as a priority.

Meanwhile, market-oriented strategic planning emphasizes understanding customer needs for an outside-in viewpoint. Products and services should be developed with these in mind. Adopting this outlook allowed Bathu Shoes to deepen their comprehension of customers and what they require.

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Chicago's Hard Rock Hotel distributes a mean of 1,000 bath towels per day to guests at the pool and in their rooms. This demand is normally distributed with a standard deviation of 100 towels per day, based on occupancy. The laundry firm that has the linens contract requires a 2-day lead time. The hotel expects a 98% service level to satisfy high guest expectations.


Required:
a. What is the reorder​ point?
b. What is the safety stock?
c. What is the ROP?

Answers

Answer:

1. Reorder point = 2,290 towels

2. Safety shock = 290 towels

Explanation:

1. Reorder Point

ROP = (Average daily demand * Lead time in days) + Z*б(dlt)

Z= No of SD depending on the service level of 98%

б(dlt) = SD in demand during the lead time

We derive б(dlt) given the SD in demand б(d) = 100 towels/day using the formula

б(dlt) = б(d) *\(\sqrt{ Lead time}\) .................(2)

Where the lead time = 2 days

Substitute in equation 2, the value of б(d) = 100 towels/day and Lead time = 2 days to obtain

б(dlt) = 100 * \(\sqrt{2}\)

б(dlt) = 100 * 1.4142

б(dlt) = 141.42 towels

Substitute in equation (1), Z = 2.05 for a service level of 98%

Average daily demand = 1,000 towels, Lead time = 2 days, б(dlt) = 141.42 towels to obtain

ROP = (1,000 * 2) + 2.05*141.42

ROP = 2,290 towels

b. Safety shock  

The safety shock = Z * б(dlt)

Substitute the value of Z = 2.05 and б(dlt) = 141.42 towels to obtain

The safety shock = 2.05 * 141.42

The safety shock = 290 towels

A company proposes to invest in two divisible projects which are expected to generate the following cash flows.   Cash flows Year Project A Project B
1 10,000 10,000
2 60,000 30,000
Additional information
1.       The cost of capital applicable to both projects is 12%
2.       Project A requires sh. 20,000 and Project B 10,000 initial investment. 3.       The funds available are restricted as follows;
Years Cash available
0 1,000,000
1 800,000
4.       Funds not utilized one year will not be available in the subsequent years. Required;         
i.            Formulate a linear programming model to solve the above problem.        ii.            Solve the problem graphically and comment on the proportion of investing on the two projects.​

Answers

The graphical solution of this linear programming problem will involve plotting the feasible region defined by the constraints and identifying the corner points of the region. The corner point that maximizes the objective function will represent the optimal investment proportions between the two projects.

To formulate a linear programming model for the investment decision between Project A and Project B, we can define the following variables:

Let x be the amount invested in Project A (in thousands of shillings).

Let y be the amount invested in Project B (in thousands of shillings).

The objective is to maximize the total cash flows generated from the investments, which can be represented as: Maximize Z = 10x + 60y + 10x + 30y

Subject to the following constraints:

The total investment should not exceed the available funds:

x + y ≤ 1,000 (in thousands of shillings)

Project A requires an initial investment of 20,000 (in thousands of shillings):

x ≥ 20

Project B requires an initial investment of 10,000 (in thousands of shillings):

y ≥ 10

The funds available in each year should be utilized:

x + y ≤ 800 (for year 1)

The graphical solution of this linear programming problem will involve plotting the feasible region defined by the constraints and identifying the corner points of the region. The corner point that maximizes the objective function will represent the optimal investment proportions between the two projects.

Based on the graphical solution, the proportion of investing in the two projects will depend on the intersection of the feasible region and the objective function. The specific proportion will vary depending on the values and slopes of the constraints and objective function.

It is important to note that the actual graphical solution and interpretation of the proportion will require the specific values and plot of the feasible region and objective function.

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Gretchen owns 625 shares of stock, with a basis of 5550. The stock split 3 to 1. Gretchen's owns _____ shares at _____ per share.

Answers

Following the stock split, Gretchen owns 1875 shares at $2.96 per share.

What is meant by Stock Split?

A stock split is a corporate action in which one or more shares of stock are divided into multiple shares. The total value of the shares remains the same despite an increase in the number of shares.

A 2-for-1 stock split, for instance, would give each shareholder one more share for every share they already owned. So on the off chance that somebody held 100 offers before the split, they would get 100 extra offers, carrying their complete to 200 offers. However, because the price per share would decrease by half, their investment's total value would remain unchanged.

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In which of the following stages of the organizational purchase decision process does the make- buy decision, a choice between purchasing from outside or making the product itself, occur?

Answers

problem recognition has choose the  organizational purchase decision process does the make- buy decision

What are the stages of the purchase decision process?This is the process by which consumers evaluate making a purchasing decision. The 5 steps are problem recognition, information search, alternatives evaluation, purchase decision and post-purchase evaluation.In order to better assess the business buyer behaviour, understanding business buying situations is also very important. There are three types of business buying situations that need to be considered. They are straight rebuy, modified rebuy, and new buy.Problem/Need-recognition is the first step in the buying decision. Without knowing what the customer needs, they will not be enticed to purchase the product. The need can be triggered by internal stimuli (e.g. hunger, thirst) or external stimuli (e.g. advertising

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Which of the following is true regarding the payback method: 18 8 01:02:53 a. When a company is 'cash poor', a project with a short payback period but a low rate of return may be preferable to a project with a long payback period and a high rate of return b. The computation of the payback period is the project's initial investment divided by the present value of its net cash flows. c. A payback period of 35 means a company will earn 35 times its initial investment, d. The payback period increases as the cost of capital increases

Answers

Answer:

b. The computation of the payback period is the project's initial investment divided by the present value of its net cash flows.

Explanation:

Payback calculates the amount of time it takes to recover the amount invested in a project from it cumulative cash flows

Payback period = Amount invested / cash flow

Discounted payback calculates the amount of time it takes to recover the amount invested in a project from it cumulative discounted cash flows

payback period decreases as cost of capital increases

A payback period of 35 means a company will recover the amount invested in a project in 35 years

You are the senior auditor in charge of the audit of Potholders Ltd, a retailer of garden pots and gnomes. Your audit firm has been auditor for the last four years. Historically, the firm has had a competent and qualified internal audit team upon whose work you have placed significant reliance. Management is well respected and is viewed to have high integrity, although there was some friction last year when the auditor discovered sales cut-off errors, which reduced profit and had an adverse impact on management bonuses under the new bonus scheme. While the company has been very profitable, drought and water restrictions have placed pressure on management to maintain profitability. In planning the audit you become aware of the following facts:
1. There is a cash shortage caused by recent business expansions and falls in cash inflow.
2. The accounts payable balance has increased by 30 per cent on last year.
3. Days in debtors has increased from 45 days to 63 days.
4. Due to the difficulty of maintaining sales levels, credit checks are not always carried out.
5. Internal audit department staff levels have been halved.
6. After a recent series of thefts, control over inventory has been tightened. When goods are received they are counted and inspected and, after a pre-numbered goods received advice is prepared, the goods are moved to an enclosed storage area with adequate security, including closed-circuit TV. Goods are released from the store only upon receipt of a properly authorised requisition form.
7. In the past, all purchases were made centrally at head office. However, store managers are now asked/allowed to purchase direct from local suppliers in order to obtain inventory at lower prices and avoid transport costs. Some store managers in North Queensland are importing from Indonesia.
Required:

1. Identify each component of audit engagement.
2. Outline the facts that increase inherent risks and the facts that increase or decrease control risk

Answers

The components of audit engagement from the question are:

Cost-benefitCircumvention designsapplication of controlscontrol environment

The factors that  increase inherent risksThe integrity of the people that are in managerial positions. The experience and the effectiveness of managers.Pressures faced by management.The type of business.

Factors that affect control risks:Presence of Novel situationsThe use of Outdated controlsImproper separation of duties

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Consider a firm redesigning its logistics network. What are the advantages of having a small number of centrally located warehouses? What are the advantages of having a larger number of warehouses closer to the end customers?

Answers

Small centrally located warehouses offer cost efficiency and simplified inventory management, while larger warehouses closer to customers provide faster delivery, better customer service, and cost savings in shipping.

Having a small number of centrally located warehouses offers several advantages in a firm's logistics network:

Cost Efficiency: Centralized warehouses can lead to cost savings in terms of inventory management, transportation, and operational overheads. With fewer warehouses, the firm can benefit from economies of scale in procurement, storage, and distribution.

Simplified Inventory Management: Managing inventory becomes more streamlined when there are fewer warehouses. It allows for better control and visibility over stock levels, reducing the risk of stockouts or overstocking.

Faster Transit Times: With centrally located warehouses, products can be shipped more quickly to various regions since they are closer to major transportation hubs. This reduces lead times and improves overall customer satisfaction.

Improved Coordination: Centralized warehouses facilitate better coordination and synchronization of supply chain activities. It becomes easier to manage inbound and outbound logistics, optimize transportation routes, and consolidate shipments.

On the other hand, having a larger number of warehouses closer to end customers provides the following advantages:

Faster Delivery: Proximity to end customers enables faster order fulfillment and delivery. Products can reach customers more quickly, reducing transit times and improving responsiveness.

Enhanced Customer Service: Local warehouses allow for better customization and personalization of service. They can cater to specific regional preferences, offer faster response times to customer queries, and handle returns or exchanges more efficiently.

Lower Shipping Costs: By locating warehouses closer to customers, transportation costs can be reduced as products travel shorter distances. This can lead to cost savings in shipping expenses.

Flexibility and Redundancy: Having multiple warehouses distributed geographically provides redundancy and flexibility in the supply chain. It mitigates the risk of disruptions, such as natural disasters or transportation issues, as the firm can rely on alternative warehouse locations.

In summary, a small number of centrally located warehouses offer cost efficiency and streamlined inventory management, while a larger number of warehouses closer to end customers provide faster delivery, improved customer service, lower shipping costs, and increased flexibility.

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The table below shows the total expenditure on a basket of goods and services; use this information to calculate the index number for the cost of a basket of goods and services in period 2, assuming Period 1 is the base year. (Round to 1 decimal place.)

Answers

Since Period 2 is the base year, so, index number for Period 2 will be 100 for the given information in Expenditure table.

for period 1 ,

Total Expenditure = $3,100

Index Number = 3100/3350×100

                        =92.537

for period 2,

Total Expenditure = $3,350

Index Number = 3350/3350×100

                        = 100

for period 3,

Total Expenditure = $3,400

Index Number = 3400/3350×100

                        = 101.492

for period 4,

Total Expenditure = $3,500

Index Number = 3500/3350×100

                        = 104.47

Index numbers are statistical measures that express changes in the value of a variable or a group of variables over time. They are used to compare the value of a particular variable at different points in time or across different regions or groups. Index numbers are useful in economics and other fields where there is a need to track changes in the value of a variable over time or across different units of observation. Common examples of index numbers include price indices, inflation indices, and stock market indices.

the complete question is:

The table below shows the total expenditure on a basket of goods and services; use this information to calculate the index number for the cost of a basket of goods and services in period 2, assuming Period 1 is the base year. (Round to 1 decimal place.)

                      Total Expenditure        Index Number

Period 1            $3,100

Period 2            $3,350

Period 3            $3,400

Period 4             $3,500

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Question 1:
What coffee blend(s) can be brewed using the Bunn® Soft Heat®
High Volume Brewer?
Click on the correct answer below, then click the Submit button.
A) Original Blend only
B) Original Blend and DNKN' Dark
C) Original Blend and Decaf
D) Original Blend, Decaf and DNKN' Dark
Submit

Answers

Original Blend and DNKN' Dark coffee blend(s) can be brewed using the Bunn Soft Heat High Volume Brewer. Dark Roast coffees are dark brown, almost ebony in color.

The beans are distinguished by a thick layer of Heat oil that glosses the surface. A Dark Roast coffee has a powerful, rich body. The flavors of the coffee's origin are nearly fully roasted away, giving it an extremely robust and smoky flavor.

Dark roast coffee is one of the best antioxidant sources in most Americans' diets. Coffee's dark, rich brown color is due to these antioxidants, which can aid in the fight against free radicals, which cause cellular damage and have been linked to cancer. Dark Heat roasts, with their fuller, more flavorful flavor, are said to pack a stronger caffeine punch than light roasts.

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What is ROL in the hotel industry and how is ROL calculated?

Answers

The ROI in the hotel industry help to calculate the economic value  of the activities, and can be calculated by finding the return through  hotel establishment.

What is ROl in the hotel industry?

Return of interest  can be described as the one that help with the economic value  as a result of the  various activities.

It should be noted that it help to give the  measurement of the yield that is been gotten from an investment as well as ion making calculation about the  return.

In conclusion , the Return of interest can be gotten by making the division of the profit that is been generated by the cost of that investment.

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NOTE; This is a complete question , no given option , even on the internet.

which one of the following alternatives reprsents a source of stress in the work place?
A) Absence from work
B) alcohol or other substance abuse
C) conflict
D) complex raskss

Answers

Answer:

option a

Explanation:

absence from work is a stress because we should to do the two days work

Mavericks Cosmetics buys $4,347,116 of product (net of discounts) on terms of 8/10, net 60, and it currently pays on the 10th day and takes discounts. Mavericks plans to expand, and this will require additional financing. If Mavericks decides to forego discounts, what would the effective percentage cost of its trade credit be, based on a 365-day year

Answers

Answer:

15.59%

Explanation:

Calculation to determine what would the effective percentage cost of its trade credit be

Effective percentage cost=1+(.08/1-.08)]^(365/10)-1

Effective percentage cost=1.08^36.5-1

Effective percentage cost=15.59%

Therefore the effective percentage cost of its trade credit be 15.59%

if Mavericks decides to forego discounts, then, 83.80% would be the effective percentage of cost of its trade credit.

Here we are to calculate what would the effective percentage cost of its trade credit.

Effective cost of not taking discount = (1 + (%Discount / (1-Discount%)^ (365/(Total days - Discount days)) - 1

Effective cost of not taking discount =  [1 + (8/92)]^[365 / (60 - 10)] - 1

Effective cost of not taking discount = 1.8380 - 1

Effective cost of not taking discount = 0.8380

Effective cost of not taking discount = 83.80%

Therefore, if Mavericks decides to forego discounts, then, 83.80% would be the effective percentage of cost of its trade credit.

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What is a way Accenture plans to achieve its sustainability goals?

Answers

Accenture plans to achieve its sustainability goals by reducing its carbon emissions and reducing its waste.

How are Accenture going to be sustainable ?

Accenture has committed to achieving net-zero emissions by 2025. To do this, the company is investing in renewable energy, energy efficiency, and carbon offsetting.

Accenture has also committed to zero waste by 2025. To do this, the company is recycling and composting all of its waste, and is working to reduce the amount of waste it generates in the first place. They have as well committed to water neutrality by 2025. To do this, the company is using water-efficient fixtures and appliances, and is working to reduce the amount of water it uses in its operations.

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A bachelor's degree in which areas concentrates on different writing and editing styles?

A: Psychology
B: Philosophy
C: communications

Answers

I think it may be communications (C).

Which of the following is not one of the variables that shift market demand

Answers

Is there any options to choose from??

Answer:

where is the option ..............

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