The given statement "It is generally not a good idea to sell a stock when the share price is much lower than what you believe the company is worth" is false because you would potentially be selling at a loss, rather than waiting for the share price to recover and reflect the company's true value.
A better approach would be to reevaluate your assessment of the company, considering factors such as market conditions, financial performance, and industry trends. If your assessment remains positive, holding onto the stock and waiting for the share price to rebound might be a more prudent strategy. Remember, investing in stocks is typically a long-term commitment, and temporary fluctuations in share price should not dictate your decision to sell.
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The school zone has posted speed limits of 25mph during school hours. Define Incentives, and provide an example of one negative incentive
and an example of one positive incentive that could be used to encourage motorists to obey the speed limit.
Answer:
To encourage someone to do something.
Explanation:
Incentives is defined as a thing that encourages someone to do something. One negative incentive is to charge a big fine on the motorists for the high speed in the school hours so that they obey the laws strictly while on the other hand, example of positive incentive is to give rewards or gifts or medals to those who obeys the law of speed limits in the school hours.
A promotion budgeting method in which an organization matches whatever competitors are spending is the __________ method.
Answer: competitive-parity
Explanation:
Using CAPM, A stock has a beta of 1. 13 and an expected return of 12. 1 percent. A risk-free asset currently earns 3. 6 percent.
a. What is the expected return on a portfolio that is equally invested in the two assets? (5 marks)
b. If a portfolio of the two assets has a beta of. 50, what are the portfolio weights? (5 marks)
c. If a portfolio of the two assets has an expected return of 10 percent, what is its beta? (5 marks)
Answer:
The beta of the portfolio is 0.87.
Explanation:
a. To calculate the expected return on a portfolio that is equally invested in the two assets, we can use the weighted average approach. Since the portfolio is equally invested, each asset receives a weight of 0.5.
Expected Return of the Portfolio = (Weight of Asset A × Expected Return of Asset A) + (Weight of Asset B × Expected Return of Asset B)
Expected Return of the Portfolio = (0.5 × 12.1%) + (0.5 × 3.6%)
Expected Return of the Portfolio = 6.05% + 1.8%
Expected Return of the Portfolio = 7.85%
Therefore, the expected return on the equally invested portfolio is 7.85%.
b. Given that the portfolio of the two assets has a beta of 0.50, we can calculate the portfolio weights using the following formula:
Beta of the Portfolio = (Weight of Asset A × Beta of Asset A) + (Weight of Asset B × Beta of Asset B)
0.50 = (Weight of Asset A × 1.13) + (Weight of Asset B × ?) -- We need to solve for the weight of Asset B.
Since the sum of the weights is 1 (or 100%), we can solve for the weight of Asset B:
1 - Weight of Asset A = Weight of Asset B
1 - Weight of Asset A = Weight of Asset B
1 - Weight of Asset A = 1 - Weight of Asset A
Therefore, the portfolio weights are equally divided between the two assets, with a weight of 0.50 (or 50%) for each asset.
c. If a portfolio of the two assets has an expected return of 10%, we can calculate its beta using the following formula:
Expected Return of the Portfolio = (Weight of Asset A × Expected Return of Asset A) + (Weight of Asset B × Expected Return of Asset B)
10% = (Weight of Asset A × 12.1%) + (Weight of Asset B × 3.6%) -- We need to solve for the beta of the portfolio.
Using the weights obtained in part b (weight of Asset A = 0.50, weight of Asset B = 0.50), we can calculate the beta of the portfolio:
Beta of the Portfolio = (Weight of Asset A × Beta of Asset A) + (Weight of Asset B × Beta of Asset B)
Beta of the Portfolio = (0.50 × 1.13) + (0.50 × ?) -- We need to solve for the beta of Asset B.
Substituting the weights:
1 = (0.5 × 1.13) + (0.5 × ?)
Simplifying the equation:
1 = 0.565 + 0.5 × ?
0.5 × ? = 1 - 0.565
0.5 × ? = 0.435
? = 0.87
Therefore, the beta of the portfolio is 0.87.
________ alternatives are those marketing actions a manager considers which may resolve a problem.
Decision alternatives are those marketing actions a manager considers which may resolve a problem.
It's time to identify and/or create decision alternatives in the innovate step. After completing the planning and decision-making portion of the Frame step, you ought to have a set of prioritized success criteria in place.
To create decision options that can satisfy the needs and preferences you identified during decision framing is the goal of the innovate step.
It is crucial to take into account a variety of options. All parties involved in the decision-making process should be able to understand potential solutions (decision alternatives) by providing sufficient description.
You can consider new opportunities and examine a wide range of options by coming up with potential new decision options, some of which might be outside of your comfort zone. The main elements of the innovate step are listed below.
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Can ah budget include donations to charities
Answer:
A common rule of thumb for budgeting for charitable donations uses the concept of the 50/30/20 split for your budget. The other portion is for your wants: About 30 percent of your budget goes into this category, which might include vacations, gifts, or date nights.
What is the standard deduction for marry filing joint for tax year 2017?
Answer: $12700
Explanation:
Standard deduction refers to the portion of income that's not being subjected to tax which can be used in the reduction of the tax bill. It should be noted that the amount of one's standard deduction will be based on the age, filing status, age, as well as some other criteria.
For taxpayers who don’t itemize, it should be noted that the 2017 standard deduction depends on the filing status and this include:
Single = $6,350
Married Filing Jointly = $12,700
Married Filing Separately = $6,350
Head of Household = $9,350
Qualifying Widow(er) = $12,700
QUESTION 9
Donald is a college student who has $4,000 in savings that he earned from his summer job. He plans to
leave the $4,000 in a 6 percent certificate of deposit (CD) for three years. How much will Donald have in
the CD at the end of the three years?
What is adjusting entries? Is it the same with general ledger?
Answer:
Adjusting entries are made in your accounting journals at the end of an accounting period after a trial balance is prepared. After adjusted entries are made in your accounting journals, they are posted to the general ledger in the same way as any other accounting journal entry.
according to expectancy theory, worker motivation almost always increases when employees are assigned a very challenging task.
a. true
b. false
According to the expectancy theory, worker motivation is based on the belief that effort leads to performance and performance leads to outcomes. If employees believe that their effort will result in a desirable outcome, they will be motivated to put in the effort. However, if they do not believe that their effort will lead to a desirable outcome, their motivation will decrease.
In the case of assigning a challenging task to employees, their motivation can increase or decrease depending on their perception of the task. If they believe that they have the necessary skills and resources to complete the task successfully, their motivation will increase as they see the challenge as an opportunity for growth and development. On the other hand, if they do not have the necessary skills or resources, their motivation may decrease as they perceive the task as too difficult or even impossible to complete.
Therefore, the answer to the question is: b. false. While a challenging task can increase motivation for some employees, it can also decrease motivation for others depending on their perception of the task and their confidence in their ability to complete it successfully. It is important for managers to assess each employee's skills and resources before assigning a challenging task and to provide support and guidance to ensure their success. Additionally, the content of the task should be loaded according to expectancy theory to ensure that employees believe that their effort will lead to a desirable outcome.
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Cain Company reports net cash provided by operating activities of $35,000. It also reports the following information under “Adjustments to reconcile net income to net cash provided by operating activities” on its statement of cash flows (using the indirect method).
It can be seen from the solutions given that Cain's net income is $24,000.
Here is the solution:Net income = Net cash provided by operating activities - Adjustments
= $35,000 - $6,000 - $10,000 + $4,000 + $7,000 + $4,000
= $24,000
Therefore, Cain's net income is $24,000.
Here is a breakdown of the adjustments:
To determine cash flow from operations, it is necessary to include the gain on equipment sales in the net income as it is a non-cash entry.
A rise in accounts receivable implies that customers are prolonging payment of their invoices, resulting in decreased cash flow from the company's activities.
The depreciation expense is classified as a non-cash expense, hence it must be included in the calculation of cash from operations by adding it back to the net income.
A decrease in inventory indicates that the company is experiencing faster turnover of its inventory, leading to increased cash flow generated by its operations.
A rise in prepaid expenses denotes that the company is channeling more funds towards prepaid expenditures like insurance and rent, implying a reduced cash inflow from its operational activities.
A decline in the amount of wages that the company owes indicates that it is not promptly compensating its workforce. Consequently, this implies that the company's operational cash flow is reduced.
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whats the slope its very imporant
The rate of change for function 1 is 4/3 while the rate of change for function 2 is 1. Therefore, function 1 has the greatest rate of change.
What is the rate of change?Mathematically, the rate of change is also referred to as slope or gradient and it can be calculated by using this formula;
Rate of change, m = (Change in y-axis, Δy)/(Change in x-axis, Δx)
Rate of change, m = (y₂ - y₁)/(x₂ - x₁)
Next, we would determine the rate of change of the value of y with respect to the value of x for the function in the table, with the following points (4, 7) and (7, 11):
Rate of change, m = (11 - 7)/(7 - 4)
Rate of change, m = 4/3
Rate of change, m = 1.333
From function 2 [y = x + 4], we can logically deduce that the rate of change is equal to 1.
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Define ''limited in stock''
Answer:
Explanation:
it means that the product wont be around aymore since its limited to retailer?
Which of the following best describes a stock.
A) An incredibly stable investment that is always a safe investment
B) Is insured by the FDIC
C) Represents a share of ownership of a corporation
D) Only sold in the United States
Answer: C
Explanation: A stock represents a share of ownership of a corporation. Stocks are bought by people so they can get money. If the company's stock they by it from goes well, they get money as well as interest. The answer is C. Hope this helps!
a decrease in the price of blueberries will decrease both the equilibrium price and quantity in the market for blueberry muffins. a. true b. false
The given statement "a decrease in the price of blueberries will decrease both the equilibrium price and quantity in the market for blueberry muffins" is True.
When the price of the inputs falls down, the supply curve shifts to the right, which reduces the cost of the product for the manufacturers. This, in turn, leads to a lower price of the product. Due to the lower cost of production, the manufacturers will want to supply more of it. This increases the supply of the product which will lead to a decrease in the price of the product.
The lower price will increase the quantity demanded, which will lead to an increase in the equilibrium quantity. But if both, the quantity demanded and supplied decrease, the equilibrium quantity will decrease. Hence, a decrease in the price of blueberries will decrease both the equilibrium price and quantity in the market for blueberry muffins.
Therefore, the given statement is true.
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If 9 time a poitive number i equal to 91 more than twice the ame number, what i the number?
The problem gives us a relationship between a positive number (which we'll call "x") and 9 times that number.
Specifically, it states that 9 times the number is equal to 91 more than twice the number. To find the value of x, we can start by setting up an equation based on the information given. Let's use the following symbol to represent the unknown value of x:
x = ?
Now, we can substitute the value of x into the equation provided in the problem:
9x = 91 + 2x
The equation tells us that 9 times the value of x is equal to 91 more than twice the value of x. This equation can be rearranged and simplified to solve for x.
First, we can subtract 2x from both sides of the equation to isolate the 9x term:
7x = 91
Next, we'll divide both sides of the equation by 7 to find the value of x:
x = 91 / 7
x = 13
So, the value of x is 13. In other words, the positive number we were looking for is 13. To check our answer, we can plug this value back into the original equation and see if both sides are equal:
9 x 13 = 117
And indeed, 91 + 2 x 13 = 117. So our answer is correct.
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you have an opportunity to invest $51,000 now in return for $61,000 in one year. if your cost of capital is 8.3%, what is the npv of this investment?
The net present value (NPV) of this investment, will be approx $5,329.27 if the return is $61000 in a time period of one year.
Follow these steps:
1. Identify the initial investment: $51,000
2. Identify the expected return: $61,000 in one year
3. Identify the cost of capital: 8.3%
Now, use the NPV formula: NPV = (Cash Flow / (1 + Discount Rate)^n) - Initial Investment
4. Plug in the values: NPV = ($61,000 / (1 + 0.083)^1) - $51,000
5. Calculate: NPV = ($61,000 / 1.083) - $51,000 ≈ $56,329.27 - $51,000
6. Finalize: NPV ≈ $5,329.27
The NPV i.e Net Present Value of this investment opportunity is approximately $5,329.27.
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The marketing team of Kyns Technologies needed more funds to carry out market research for one of its new products. The research and development team also needed funds to improve the company's existing products. The teams decided to split the company's funds so that both teams could use them, but not optimally. Which of the following concepts does this scenario illustrate? A. Despotism B. Compromise C. Repression D. Domination
Answer: compromise
Explanation:
Compromise refers to a scenario whereby a deal is made between different parties and in such scenario, each party gives up part of their demand. It simply means finding agreement through communication.
Since despite the need of the marketing team and the research team, both teams decided to split the company's funds so that both teams could use them, but not optimally. This is referred to as compromise.
Answer:
Compromise
Explanation:
When agreement is made or a conclusion is reached between tow different parties or wings, such that each of the agreeing parties has to shelve a certain part of its plans or demand in other to reach a reasonable conclusion. This idea shelving or cutting down on intention or projects by each party is called compromise. In the scenario, both the marking and research and development teams needed funds, however, due to inadequate provision, they had to agree on rationing what is available even though an optimal usage would be very unlikely.
TRUE OR FALSE 27) Identifying the stakeholders—people who have a vested interest in the outcome of the decision—is the last step in analyzing an ethical issue.
Identifying the stakeholders—people who have a vested interest in the outcome of the decision—is the last step in analyzing an ethical issue. The statement is false.
Analyzing ethical problems is a systematic approach that examines moral decisions in any case or circumstance. It consists of a sequence of actions used to identify problems.
The majority of those affected by moral harm or any ethical imbalance are stakeholders. Stakeholders are individuals who have an ownership stake in the outcome of the decision. Acknowledging stakeholders is the first step in recognizing an ethical issue.
Therefore, the statement is False.
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If MM's Proposition I holds, minimizing the weighted average cost of capital (WACC) is the same as maximizing the
a. profits of the firm.
b. book value of the firm.
c. market value of the firm.
d. liquidating value of the firm
If MM's Proposition I holds, minimizing the weighted average cost of capital (WACC) is the same as maximizing the market value of the firm. The Modigliani-Miller Proposition I is a financial theory that states that the value of a company is independent of its capital structure.
The correct option is c .
In other words, the total value of the firm is determined by its earning power and the risk of its underlying assets, which are unaffected by its choice of financing. MM Proposition I implies that the cost of capital of a company is independent of its financing mix, whether it is financed by equity or debt, and therefore there is no optimal capital structure. What is the weighted average cost of capital (WACC)?The weighted average cost of capital (WACC) is the average cost of a company's debt and equity capital, weighted by their respective proportions.
It is the minimum return that investors require to finance a company's operations, and it reflects the riskiness of the company's assets and the cost of borrowing. What is the relationship between WACC and firm value?According to MM Proposition I, the weighted average cost of capital (WACC) is independent of a company's capital structure, and therefore minimizing WACC is the same as maximizing the market value of the firm. This means that the lower a company's WACC, the higher its market value, because a lower WACC means that the company is less risky and more profitable. Therefore, by minimizing WACC, a company can increase its market value, which is the ultimate goal of any firm. Thus, option (c) is the correct answer. To summarize, MM Proposition I states that the value of a company is independent of its capital structure, and minimizing WACC is the same as maximizing the market value of the firm.
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A good negotiator knows
his/her own biases
how to push other's hot buttons
he/she is free of prejudice
the advantages of cultural discrimination
Answer:
A
Explanation:
lol
If you were in a debate fighting for the rights of something what techniques should you use, just curious?
Mention 5 factors that determine the channels of distribution
Answer:
technical Nature, Standardised or Customised Product, Buying Quantity, Buying Habits, Unit Value of the Product.
there are more btw
Joe can read 7 page of hi book in 5 minute. At thi rate, how long will it take him to read the entire 275-page book?
Joe will need about 196.43 minutes minutes to read the entire 275-page book.
We can use the formula rate = distance/time to calculate this. The distance is the number of pages in this case, and the time is the amount of time it takes to read those pages.
We know Joe can read 7 pages in 5 minutes, so we can use these values to calculate how long it will take him to read 275 pages: rate = 275 pages / time.
We get time = 275 pages / 7 pages per 5 minutes when we solve for time.
275/7=39.286
pages per 5 minutes= 39.286 *5=196.43 minutes
Converting the time from minutes to hours, we get that it will take Joe
1 hour = 60 minutes
= 196.43/60
=3 hours 16 minutes
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Give all start up costs for opening a salon that has 8 workers with 8 stations and that does everything hair and wax related. Include the quantities for each item and the pricing
Rent/Lease for the salon space: $2,000 - $10,000
Build-out costs: $5,000 - $15,000
Equipment and supplies:
8 stations, chairs, and mirrors: $5,000 - $10,000
8 styling stations (styling chairs, styling stations, styling tools): $8,000 - $15,000
8 hair dryers: $4,000 - $6,000
8 hair washing stations: $8,000 - $12,000
8 hair cutting stations: $8,000 - $12,000
8 waxing stations: $8,000 - $12,000
Hair color, waxing, and other supplies: $5,000 - $10,000
Marketing and advertising costs: $2,000 - $5,000
Legal and accounting fees: $1,500 - $3,000
Insurance (liability, property, and worker's compensation) $2,000 - $5,000
Employee salaries: $8,000 - $12,000
Miscellaneous costs (utilities, phone, internet, etc): $5,000 - $10,000
Note that these numbers are rough estimations, and the cost can vary depending on location and other factors.
Georgina decides to take a dozen cupcakes to school to sell so she can raise money for her school trip to New Orleans. She prices the cupcakes at $5 each. At the end of the day she is disappointed that she only sold three cupcakes.
This market model is in a [______]? (this is an economics question but I can't choose that as a subject..)
The situation described refers to an economic imbalance.
Economic imbalance is an economic term that refers to:
The scenarios in which an economy does not show an equilibrium between two magnitudes that belong to it. For example:The economic imbalance commonly occurs when the supply of a product or service and its demand are not balanced, on the contrary, they suffer variations that alter the market equilibrium.
According to the above, Georgina experienced this phenomenon (economic imbalance) with her idea of selling cupcakes at her school because the supply (12 cupcakes) greatly exceeded the demand for cupcakes from her schoolmates (3 cupcakes).
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Explain at least four consumer rights.
Explanation:
four basic consumer rights – the right to safety; the right to be informed; the right to choose and the right to be heard
Tom is a 45 year old High School Principal in Ballard County, KY. He has plans to retire in 6 years when he has enough years to access his pension plan. After retirement he wants to start his own Real Estate Brokerage firm and move back closer to his hometown in Northern part of Georgia. Both of his parents are still living and his sister and brother-in-law have 3 children that are between the ages 15-22. Tom is recently divorced and living in a duplex while he saves up money for a new home as his ex wife received their house in the divorce decree. He is now responsible for the health insurance of his twin girls that are 14 and freshman in high school as well as their entire cost of their education including 4 years of college. He drives a 2015 F-150 that he purchased new and owes $21,500 on it as it will be paid off in about 3 more years.He does have to travel long distances periodically for his job for meetings in Frankfort and Lexington. What are insurance needs that Tom should be thinking about given his situation? What are the key factors that should impacthis decisionat this point in his life.
Tom should consider health, life, disability, and auto insurance given his situation, and key factors that impact his decision include his income, age, health, dependents, and personal assets.
As he is responsible for his twin girls' education and college expenses, he should consider purchasing life insurance to ensure they are financially supported if he passes away.
Disability insurance can provide him with financial support if he is unable to work due to illness or injury. Given that he drives long distances periodically for his job, Tom should also consider purchasing comprehensive auto insurance that covers damages caused by accidents, natural disasters, theft, and vandalism.
Key factors that should impact Tom's decision in choosing insurance policies include his income, age, health, number of dependents, and personal assets.
As he is planning to retire in six years and start his own business, he should consider how his income will change and how it will impact his ability to pay for insurance premiums.
He should also consider his age and health, as this can impact his eligibility for certain types of insurance policies. The number of dependents he has and their financial needs should also be taken into account.
Finally, he should consider his personal assets and liabilities, including his truck and outstanding debts, to determine the amount of coverage he needs.
Overall, Tom should carefully evaluate his insurance needs and seek professional advice to make informed decisions that protect himself and his family.
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Celebrities can appeal to ethos when they promote products that
A. are related to their field.
B. people want to buy.
C. might help people.
D. are not well known.
Answer:
B.people want to buy ..............
what are the disadvantage of credit card
Answer: you don’t see your own money.
Explanation:
contract terms: multiple choice confer the rights and obligations of the borrower. depend on data in financial statements that are issued before the contract is executed. cannot be designed to eliminate or reduce conflicting incentives. do not use financial accounting numbers to monitor compliance with contract terms.
Contract Terms provide the borrower rights and duties. Thus, the answer is the first option, "confer the rights and obligations of the borrower."
Contract terms are independent of information contained in financial statements and accounts that are published prior to the contract's execution. This means the second option cannot be the answer.
Additionally, contract terms can be created to lessen or remove competing and conflicting incentives which is why the third option cannot be the correct answer.
And lastly, financial accounting figures can be used in the contract terms to track compliance. Thus, the fourth option cannot be the answer.
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Contract terms...
Multiple choice:
A) confer the rights and obligations of the borrower.
B) depend on data in financial statements that are issued before the contract is executed.
C) cannot be designed to eliminate or reduce conflicting incentives.
D) do not use financial accounting numbers to monitor compliance with contract terms.