7. michael has an investment with the following annual returns for four years: what is the arithmetic mean (am) and what is the geometric mean (gm)?

Answers

Answer 1

michael has an investment with the following annual returns for four years then AM = 7.67%, GM = 5.60%.

What do you mean by arithmetic mean?

The arithmetic mean is defined as the ratio of the sum of given values to the total number of values.

What do you mean by geometric mean?

Whereas in geometric mean, we multiply the “n” number of values and then take the nth root of the product.

The relationship between arithmetic mean, geometric mean, and HM can be represented by the formula AM × HM = GM2. The geometric mean (GM)is equal to the product of the arithmetic mean (AM) and the harmonic mean (HM) .

Learn more about arithmetic and geometric mean here:

https://brainly.com/question/2292573#SPJ4


Related Questions

a mortgagge loan in which the interest rate charged fluctuates with the level of current interest rates is called

Answers

Variable interest rate mortgage loans have an interest rate that varies depending on the level of current interest rates.

An interest rate on a loan or security that fluctuates over time because it is based on an underlying benchmark interest rate or index that is interest rates subject to Variable interest rate regular changes is known as a variable interest rate (also known as an "adjustable" or "floating" rate).

A variable interest rate has the obvious advantage that if the underlying rate or index decreases, so do the borrower's interest payments. On the interest rates other hand, if the underlying index increases, interest payments rise. Fixed interest rates are stable, as opposed to variable interest rates.

Variable interest rate mortgage loans have an interest rate that varies depending on the level of current interest rates.

Learn more about Variable interest rate here

https://brainly.com/question/2496648

#SPJ4

as a result of a tariff t imposed on speedboats, the price domestic consumers pay for speedboats probably will likely be:

Answers

As a end result of a tariff T imposed on speedboats, the fee that overseas suppliers will receive probably will be: P1. P3.

How do I discover out my tariff revenue?

Tariff revenue alternate on a given import flow is computed surely as the closing ad-valorem tariff improved by means of the final import cost minus the preliminary ad-valorem tariff extended by way of the initial import value.

Why are tariffs imposed on goods?

Tariffs have three primary functions: to serve as a source of revenue, to protect home industries, and to remedy change distortions (punitive function). The income feature comes from the fact that the profits from tariffs affords governments with a supply of funding.

Learn more about tariffs here:

https://brainly.com/question/2178644#SPJ4

one of the allegations in a recent fraud was that confirmations of account balances to various banks were determined to be forgeries. auditing standards state that an audit rarely involves the authentication of documentation, nor is the auditor trained as or expected to be an expert in such authentication. what steps could the auditors have taken to ensure that bank confirmations were reliable?

Answers

The following steps could auditor have taken to ensure that bank confirmations were reliable

designing external assuranceauditor's use of appropriate assurance

Attsation is the process of obtaining and evaluating direct communications from third parties in response to requests for information on specific issues affecting statements related to the financial statements.

Auditing Standard #8, Audit Risk, describes the audit risk model. It assesses inherent and control risks, determines an acceptable level of detection risk, and develops an assurance program to achieve a reasonably low level of assurance risk using appropriate assurance at the level of Assertion.

It explains the concept of designing. The auditor should: Assess the risk of material misstatement at the assertion level. ISA 500, “Audit Evidence,” states that the reliability of audit evidence is affected by its source and nature, and the individual circumstances in which it was obtained.

but note that the following generalizations regarding the reliability of audit evidence may be helpful:

• Audit evidence is more reliable when obtained from independent sources outside the organization.

• Audit evidence obtained directly from the auditor is more reliable than audit evidence obtained indirectly or by inference.

• Audit evidence is more reliable when it is in document form.

• Original audit evidence is more reliable than photocopy or fax audit evidence.

Accordingly, audit evidence in the form of original written responses to requests for confirmation from third parties unrelated to the audited entity should be viewed separately. Significantly reduces the risk of misrepresentation of related claims to an acceptably low level.

Auditor may request external confirmation of the terms of any contract the company has with a third party or of her transactions. The Other examples of situations in which external confirmation can be used are: • Bank balances and other information from bankers.

• Customer Balance.

• Investments purchase

• Vendor balance.

he reliability of audit evidence obtained from external assurance depends, among other things, on the auditor's use of appropriate assurance procedures in designing external assurance requirements, performing external assurance procedures, and evaluating their results.

To learn more about Audit confirmation, refer:

https://brainly.com/question/28791781

#SPJ4

item 3 george jefferson established a trust fund that will provide $221,500 per year in scholarships. the trust fund earns an annual return of 3.8 percent. how much money did mr. jefferson contribute to the fund assuming that only income is distributed?

Answers

$6,050,000 was contributed by Jefferson to the trust.

Selling goods & services is how a business makes money. Profit and both fixed and variable costs incurred during product manufacturing are included in revenue. The distinction between profit and fixed costs is known as margin.

How does contribution margin compare to gross margin?

Contribution margin is the profit that remains after variable costs are deducted from revenue, while gross margin is the profit that remains after the cost of goods sold is deducted from revenue.

What exactly is contribution margin and why is it so crucial?

It is a bookkeeping term that assists entrepreneurs and chiefs with following item productivity.Understanding the contribution margin is critical because it indicates how much of a product's revenue can be used to cover fixed costs and increase the company's profit.

Learn more about Contribution margin here:

https://brainly.com/question/28090857

#SPJ4

if the rate on one-year t-bills currently is 6 percent, what is the repayment probability for each of the following two securities? assume that if the loan is defaulted, no payments are expected. what is the market-determined risk premium for the corresponding probability of default for each security? a. one-year aa rated bond yielding 9.5 percent? b. one-year bb rated bond yielding 13.5 percent?

Answers

the market-determined risk premium for the corresponding probability of a One-year AA-rated bond yielding 9.5 percent is 3.5%

the market-determined risk premium for the corresponding probability of a One-year BB-rated bond yielding 13.5 percent is  7.5%

Probability is a way to express how likely something is to happen in terms of a percentage. By dividing the total number of events by the number of favorable events, the probability is computed.

Probability is equal to the sum of the positive and negative events.

Possible values:

Bonds with an AA rating yield 9.5%.

Bonds with a BBB rating yield 13.5%.

Rate = 6%

a. The likelihood of repayment is determined as follows:

Probability of Repayment = (1 + Rate) / (1 + AA - Rated bond yielding)

P = (1 + 6%) / (1 + 9.5)

P = (1 + 0.06) / (1 + 0.095)

P = 1.06 / 1.095

Probability of Repayment = 0.968 or 96.8%

The following formula is used to compute the market risk premium:

Bond yielding at an AA rating minus the risk premium determined by the market

Risk premium as decided by the market = 9.5% - 6%

Risk premium as decided by the market = 0.095 – 0.06

Risk premium as determined by the market: 0.035 or 3.5%

b. The likelihood of repayment is determined as follows:

Probability of Repayment = (1 + Rate) / (1 + AA - Rated bond yielding)

P = (1 + 6%) / (1 + 13.5)

P = (1 + 0.06) / (1 + 0.135)

P = 1.06 / 1.135

Probability of Repayment = 0.9339 or 93.39%

The following formula is used to compute the market risk premium:

Bond yielding at a BB rating minus the risk premium determined by the market

Risk premium as decided by the market = 13.5% - 6%

Risk premium as decided by the market = 0.135 – 0.06

Risk premium as assessed by the market = 0.075 or 7.5%

To know more about Probability, refer to this link:

https://brainly.com/question/12629667

#SPJ4

in a closed economy, without the government, the consumption expenditure equals $5,000 and the investment expenditure equals $2,000. what is the national incom

Answers

The national income is $35.

In national income accounting, internet countrywide earnings (NNI) is internet countrywide product (NNP) minus indirect taxes.[1] internet countrywide earnings encompass the earnings of families, corporations, and the authorities. net countrywide profits are defined as gross domestic product plus internet receipts of wages, salaries, and assets earnings from overseas, minus the depreciation of constant capital assets (dwellings, homes, machinery, shipping gadget, and physical infrastructure) via put-on and tear and obsolescence.

Herbal assets are non-vital natural capital along with minerals. NNI* no longer takes critical natural capital under consideration. Examples are air, water, land, and so on.

learn more about national income  here:  https://brainly.com/question/11676259

#SPJ4

foreign exchange rates have been very blank since 1973 due to the many crises that have occurred in this period, such as the opec oil crises and the asian currency crisis. multiple choice question. volatile

Answers

foreign exchange rates have been very volatile since 1973 due to the many crises that have occurred in this period, such as the OPEC oil and the Asian currency crises.

The foreign exchange rate is defined as the price of one currency relative to another. The goal of foreign exchange is to compare one currency to another in order to determine their relative values.

The foreign exchange rate is also known as the rate at which one currency is exchanged for another, or the price of one currency expressed in terms of another currency.

Currency exchange rates can be either fixed or floating. The fixed exchange rate is determined by the country's central bank, whereas the floating rate is determined by market demand and supply dynamics.

Some factors influence the exchange rate, which can be economic, political, or psychological. Inflation, trade balances, and government policies are all known economic factors that cause fluctuations in foreign exchange rates.

For more information on Foreign exchange rates, visit :

https://brainly.com/question/14231622

#SPJ4

Answer:

Volatile

Explanation:

foreign exchange rates have been very blank since 1973 due to the many crises that have occurred in this period, such as the opec oil crises and the asian currency crisis. multiple choice question. 

some popular social media management systems are becoming more difficult to manage becausesome popular social media management systems are becoming more difficult to manage because

Answers

Media Management is a branch of Business Administration concerned with the organisation and supervision of teams of media experts, various mass communication channels and technologies, media and entertainment productions, and other activities.

Conceptualizing, conceiving, designing, producing, editing, and directing media projects; or the operation, maintenance, and/or oversight of media facilities, production, and distribution-related operations are examples of functions. Creating marketing communications strategies for organisations of all sizes and industries. A media strategy for launching a new high-speed rail, for example, can include media creation, advertising, events, product showrooms, and partnerships with media representatives and influencers. Media management is a discipline of business administration that focuses on the growth.

To learn more about Media management, click here.

https://brainly.com/question/28957948

#SPJ4

In computing the present value of the lease payments, the lessee should Entry field with incorrect answer use its incremental borrowing rate in all cases. Use the implicit rate in all cases. Use the implicit rate of the lessor, assuming that the implicit rate is known to the lessee. Use both its incremental borrowing rate and the implicit rate of the lessor, assuming that the implicit rate is known to the lessee

Answers

The lessee should use either its incremental borrowing rate or implicit rate of lessor, whichever is lower, assuming that implicit rate is known to the lessee.

What is incremental borrowing rate?

The incremental borrowing rate is defined as " rate of interest that a lessee would have to pay to borrow on collateralized basis for similar term an amount equivalent to the lease payments in similar economic situation" in ASC 842, one of the new lease accounting standards. According to ASC 842, lessees should use the implicit rate in a lease to assess the obligation for a lease by estimating the present value of future lease payments. A business must utilize the "incremental borrowing rate" if it is unable to ascertain the implicit rate in a lease. Knowing how to determine the incremental borrowing rate is crucial since it frequently happens that the implicit rate is unavailable.

To learn more about incremental borrowing rate, visit:

https://brainly.com/question/28154863

#SPJ4

in the first quarter of 2019, what were the weekly earnings of high school graduates without a college degree?

Answers

The weekly earnings of a high school graduate without a college degree in the first quarter of 2019  was $ 739 per week.

How does education affect pay?

In the United States, the pay rate that a person gets is often directly correlated with the level of education that they have. What this means is that if for instance a person has a college degree, they can generally expect to be paid more than a person with only a high school diploma.

From the table, we can see that a person who has a high school diploma, or has graduated high school, will earn a total of $ 739 per week in the first quarter of 2019. In that same period, a person who has a college degree will get an average of $ 1, 213. This is why people incur the student loans that they do, in order to attend college.

Find out more on weekly earnings at https://brainly.com/question/15660066

#SPJ1

what would be your first response if you were asked your personal thoughts on strategic management as a tool

Answers

Strategic managements provides overall direction  by developing overall direction  by developing plans and policies  designed to achieve objectives and then allocating resources to implement the plans.

What do we learn in strategic management?

In strategic management we can manage business and projects proactively with a focus on long term strategy, rather than reacting. It helps you to ensure that on the latest business growth strategies as well as on the newest tools for strategic planning models.

It helps has a specific goals that  day to day basis, weekly, monthly and sometimes yearly. The organization helps in setting of competitive environment and coming up with strategies to help you achieve organization goals.

This explains Strategic managements from the given link

https://brainly.com/question/27762072

#SPJ4

7. Jannah is reviewing a report that a new marketing manager put together after assessing her small business. If Jannah wants to learn how familiar a custo
what section of the marketing report should she review?

Answers

To learn how familiar a customer is to the company, Jannah must look at the leads section of the marketing report.

What is a marketing report?

It consists of a document through which an organization can visualize its performance over a period of time, through the analysis of data and information about the company's actions and strategies to achieve objectives and goals in the market.

Through qualitative and quantitative reports related to communication and sales, for example, the company is able to make more significant decisions about its strategy, with evaluations and corrections that will contribute to continuous improvement and positioning in the market.

So leads could be the section that Jannah would review to identify a potential customer, as this data significantly demonstrates an individual who engages with the company's business and can be turned into a customer.

Find out more about marketing strategy on:

https://brainly.com/question/25640993

#SPJ1

what dividend yield would be reported in the financial press for a stock that currently pays a $1 dividend per quarter and the most recent stock price was $40?

Answers

The dividend yield for the financial press for a stock that currently pays a $1 dividend per quarter and the most recent stock price was $40  is 10%.

Dividend yield

Dividend yield refers financial ratio that tells you the percentage of a company's share price that it pays out in dividends each year.

Given,

Here we need to find the dividend yield would be reported in the financial press for a stock that currently pays a $1 dividend per quarter and the most recent stock price was $40.

Through the given question, we know that,

Dividend per quarter = $1

Recent stock price = $40.

So, the dividend for one year is 4 x $1 = $4.

So, the dividend yield for the recent price is

=> 40/4

=> 10%.

Therefore, the dividend yield is 10%.

To know more about Dividend yield here.

https://brainly.com/question/28044310

#SPJ4

on december 1, victoria company signed a 90-day, 4% note payable, with a face value of $10,200. what amount of interest expense is accrued at december 31 on the note? (use 360 days a year.) multiple choice $102 $0 $408 $68 $34

Answers

Principal amount = $10,200

  Rate of Interest = 4%

  Time period = 90 days

Therefore,

              Amount of interest expense accrued =

 = Principal * Rate of interest * Time period

 = $10,200 * 0.04 * 90/360                  [ given to use 360 days a year ]

= $408 * 90/360

= $102

Notes payable are long term and short term liabilities, depending on it's due date, that indicates the amount a company owes to it's creditors. For example loan from bank or friends or suppliers.

Long term = payable beyond 12 months, usually within 5 years

Short term = payable within 12 months.

To know more about notes payable visit:

https://brainly.com/question/16014049

#SPJ4

Which of these is a disadvantage to only using cash to make purchases?

Answers

Cash advances require a lot of paperwork and are generally difficult to get is a disadvantage to only using cash to make purchases.

cash is felony gentle—forex or coins—that may be used to change items, debt, or offerings. every so often it also includes the fee of belongings that may be effortlessly converted into cash immediately, as reported with the aid of an employer.

Cash is the quantity of real cash an enterprise has at its disposal. it's miles are labeled on the balance sheet as a modern asset, which means it's miles in all likelihood for use within the subsequent 365 days, and is commonly held in bank money owed. money or its equal (consisting of a check) paid for goods or services at the time of purchase or delivery. coins. it's a shop of price. coins is extra than only a charge instrument. It permits humans to preserve money for saving functions without default chance. it is useful for a small man or woman-to-character presents and bills.

Learn more about cash here: https://brainly.com/question/24179665

#SPJ1

Disclaimer: The question is incomplete. Please read below to find the missing content.

Which of the following is not a disadvantage to cash advances on a credit card?

a.

Cash advances are similar to loans in that they need to be paid back with interest.

b.

Cash advances require a lot of paperwork and are generally difficult to get.

c.

Cash advances are often the last thing to be paid when paying off your credit card.

d.

Cash advances often come with an interest rate much higher than your credit card.

the net pay owed to an employee amounts to their gross pay minus deductions made. these deductions can include:

Answers

Employers are prohibited from taking unauthorized deductions from employees' salary and compensation, including several other groups of people. Employers must abide by the provisions of your employment contract and may only deduct wages under certain circumstances.

Learn about your rights to protection and when employers may deduct money from your pay.Your earnings and your salary differ slightly. Your employer pays you a salary in relation to the work you do. The minimum amount you should be paid is called pay (for example your monthly or hourly pay rate). Your pay may consist of:

any fees, bonuses, commissions, holiday compensation, or any wages related to your employment, excluding

statutory wages (such as Statutory Sick Pay or Statutory Maternity Pay)

Gift certificates, lunch coupons, and other vouchers with a set value that can be used to buy products, services, or money.

Learn more about to  deductions visit here : https://brainly.com/question/3158031

# SPJ4

what are standard operating procedures? group of answer choices explanation of how tasks should be done federal model code for food service industry's generic guidelines for tasks employee manual received at the time of hire

Answers

Standard operating procedures means the indicate how things should be done to attain service goals.

Standard operating procedures.

Standard operating procedure defines the procedure specific to your operation that describes the activities necessary to complete tasks in accordance with industry regulations, provincial laws or even just your own standards for running your business.

Given,

Here we need to define the process of Standard operating procedures.

Standard operating procedures also known as SOPs explains what employees must know and do when they perform work, and they are used to implement standards.

SOP rules must review and update whenever necessary. Sometimes this involves the addressing a specific step and sometimes an entire task. We need corrective actions to enforce SOPs include informal coaching sessions, special conversations, or discussions during performance appraisal meetings.

To know more about Standard operating procedures here.

https://brainly.com/question/28423935

#SPJ4

surplus is: a. a better measure of the value that buyers and sellers get from participating in a market than price itself. cross out b. maximized for individuals whose reservation price equals the market price. undo c. negative for those who do not participate in a market. cross out d. all of these are true.

Answers

No single buyer or seller may affect that price. Price takers are people or businesses that must accept the market price as given.

What is it called when a firm has no ability to influence market prices?Monopoly power is another name for market power. A "price taker" business is one that competes. As a result, a firm in a market with competition cannot alter the price of a good. Due to the modest size of any competing firm in relation to the market, they have no impact on pricing. Firms with market power, on the other hand, are also referred to as "price makers."A consumer or firm that takes the market price as given has no ability to influence that price.Markets inherently tend toward supply and demand equilibrium as a result of buyer and seller activity. Suppliers are unable to sell all of the product they desire at the market rate if there is a surplus. A state of extra supply is another name for a surplus. The surplus prompts the sellers to lower their pricing.

To Learn more About market price Refer to:

https://brainly.com/question/14612966

#SPJ4

which of the following activities would be considered a project? a.) schedule benchmark tests for each grading period b.) maintain student attendance records c.) enroll and register new students d.) organize an all-staff event to introduce a new principal

Answers

Organizing an all-staff event to introduce a new principal would be considered a project.

A principal is money that you at the start agreed to pay lower back. a hobby is a value of borrowing the important. normally, any charge made on a vehicle mortgage might be carried out first to any prices which can be due (as an example, past due prices).

The primary is the quantity of a debt that was first borrowed, and which remains unpaid. This amount no longer consist of any amassed unpaid interest related to the debt. The time period also can talk to the chief participant in a contract or other commercial enterprise transaction.

Learn more about principal  here: https://brainly.com/question/25545513

#SPJ4

expected sales $ 10,000 units direct material and labor costs $ 150 per unit variable manufacturing overhead $ 20 per unit fixed manufacturing overhead $ 300,000 fixed selling and administrative expenses $ 150,000 average operating assets $ 2,000,000 required return on investment 20% what is the amount of the markup percentage on the absorption cost that should be used to derive the selling price of this product?

Answers

The amount of the markup percentage on the absorption cost that should be used to derive the selling price of this product will be 20%.

A managerial accounting technique known as "absorption cost," also known as "full costing," is used to record all expenses related to producing a specific product. This strategy accounts for both direct and indirect costs, including direct materials, direct labor, rent, and insurance.

According to generally accepted accounting principles (GAAP), absorption costing is necessary for external reporting.

Total sales values = Total cost + Return on investment

Return on investment = 20% × 2,000,000 =  400,000.

Profit per unit = 400,000/10,000 units = 40 per unit

Total production cost = Variable cost + Fixed production overhead

                                       = ((150 + 20) × 10,000 + ( 300,000)

                                        =   2,000,000

Cost per unit = 2,000,000/10,000=   200

mark-up in (%) = profit per unit/ cost per unit

                       = (40/200)× 100 = 20%

To know more about absorption cost refer:

https://brainly.com/question/13781960

#SPJ4

quantitative problem: you need $13,000 to purchase a used car. your wealthy uncle is willing to lend you the money as an amortized loan. he would like you to make annual payments for 6 years, with the first payment to be made one year from today. he requires a 7% annual return. what will be your annual loan payments? do not round intermediate calculations. round your answer to the nearest cent.

Answers

The formula for computing the annual loan payments is provided and explained below:

PMT=P(r/n)/1-(1+r/n)^(-nt)

P=loan amount=$13,000

r=interest rate=7%

n=number of payments in a year=1

t= duration of loan= 6 years

PMT= 13,000*(7%/1)/(1-(1+7%/1)^(-1*6)

PMT=13000*0.07/(1-(1.07)^-6

PMT=$2727.35

A loan is whilst cash given to every other party in change for compensation of the mortgage's main quantity plus hobby. creditors will not forget a prospective borrower's earnings, credit score, and debt ranges earlier than identifying to provide them with a mortgage.

A secured mortgage makes use of an asset you very own as collateral; the lender can take the asset in case you do not pay off the mortgage. An unsecured mortgage calls for no collateral. They commonly have higher hobby prices than secured loans due to the fact they may be riskier for creditors.

Learn more about loan here: https://brainly.com/question/26011426

#SPJ4

the main way differ from agents is that they do not develop long-term relationships with the buyers or sellers they assist. a. brokers b. sales discounters c. wholesalers d. rack jobbers

Answers

In contrast to merchant wholesalers, agents and brokers do not actually buy or acquire ownership of the goods they buy and sell.

The Corrcet answer is C. wholesalers.

What do merchant wholesalers do?Branches of the Merchant Wholesalers in the durable goods industry supply other companies with capital or durable items. In general, merchant wholesalers take ownership to the products they offer, meaning they buy and sell products on their own behalf.In order to distribute goods at a wholesale level, wholesale trade agents and brokers act on behalf of buyers and sellers. Instead of taking title to the products they are selling, they make money by charging commissions and fees for their services.Agents normally represent either the buyer or seller on a permanent basis; brokers bring parties together temporarily. Instead, brokers bring buyers and sellers together and negotiate the parameters of the transaction.

To Learn more About wholesalers refer to :

https://brainly.com/question/19165098

#SPJ4

congratulations! you were the 10th caller on the kmth morning show and you just won $4,000.00. after you calm down, you decide to put the money into a bank account so that you will have even more money for a trip to europe. snurling bank tells you that they will pay 10% per year compounded monthly. how much money will you have for your trip in 2 years? a) $4,880.56 b) $4,884.56 c) $4,881.56 d) $4,879.56 e) $4,877.56 f) none of the above.

Answers

Compound interest is the idea that interest is earned on top of interest from that point forward by adding accumulated interest back to the principal amount. Here, a month's worth of compound interest is calculated (time period). As a result, the time period is 12 times, and the interest rate is divided by 12.

The scenario states that the computation of the provided data is as follows:

The current value is $4000.

Rate = 7%

Monthly compound rate equals 10% times 12.

Duration = 2 x 12 = 84

So, using a financial calculator, we can estimate the value in the future.

FV = $4,884.56

Principal multiplied by one plus the interest rate divided by the number of periods, raised to the power of the number of periods, and that whole subtracted from the principal amount to yield the interest amount, is how monthly compounding is calculated.

To know more about Compound interest, click here:-

https://brainly.com/question/14295570

#SPJ4

the risk-free rate is 7%. the expected market rate of return is 15%. if you expect a stock with a beta of 1.3 to offer a rate of return of 12%. according to the textbook capm you should

Answers

Since the stock is expensive, option (b) is the appropriate response.

What exactly is CAPM stand for?

The capital asset pricing model (CAPM), which generates anticipated returns on capital investments, is an idealized description of how securities are valued in financial markets. Through risk assessment and estimation, the model provides a mechanism for determining expected return on equity.

E(R₁) = Rf + β(E(Rм) - Rf),

Where

E(R₁)= capital asset expected return

Rf = Risk - free of interest

β = sensitivity

E(Rм) = Expected return of the market

Given information

E(R₁) = 12%

Rf = 7%

β = 1.3

E(Rм) = 15%

Now we need to calculate what will be the expected return according to the  CAPM model.

E(R₁) = 7% + 1.3 ( 15% -7%)

E(R₁) = 17.4%

The security must be sold short since, according to the CAPM model, the expected return on the stock, 17.4%, is higher than the offered return on the stock, 12.0%.

Since the stock is expensive, option (b) is the appropriate response.

TO know more about capm , visit:

https://brainly.com/question/15548553

#SPJ4

zara's store managers place orders that reflect their localized needs. however, order fulfillment is ultimately the responsibility of the commercial team in headquarters because:

Answers

Zara's store manager placed order that reflect in their localized needs. However, order fulfillment an ultimately is the responsibility of the commercial team in headquarters, because store managers does not have visibility into regional demands but the commercial team does.

A store manager is responsible for overseeing the daily operations of a store, their duties include motivating sales teams, creating business strategies, developing promotional material, and training new staff. Also known as a store supervisor.

What skills do you need for store managers?

These seven retail manager skills are essential for any store

Multi-tasking.Decision-making.Leadership.Motivation.Organizational skills.Effective communication.Making the first sale of the day.

Learn more about store manager here:- https://brainly.com/question/28219371

#SPJ4

would an employer find benefit in using an understanding of crystallized and fluid intelligence in a hiring practice?

Answers

The employer's understanding of crystallized and fluid intelligence in a hiring practice would benefit him.

It uses both types of intelligence. If you've ever faced a new difficulty and solved it by looking back on an experience, your fluid and crystalline intelligence has combined to your advantage.

Fluid intelligence is the ability to recognize, assess, and respond to unfamiliar situations. The term "crystallized intelligence" refers to the capacity to recall learned information. Both bits of intelligence is necessary to solve challenges.

Both fluid intelligence and crystallized intelligence, despite their distinctions, are equally important and even related.

Learn more about fluid intelligence at

https://brainly.com/question/28459794?referrer=searchResults

#SPJ4

the population of new york city would have totaled 1.2 million in 1860 if it had included the then-independent city of

Answers

The population of New York City would have totaled 1.2 million in 1860 if it had included the then-independent city of Brooklyn.

Many of the state's new immigrants settled in the cities in the early 1900s.

They came there to discover jobs in the towns' growing factories and corporations.

Immigrants settled particularly in towns in the Northeast and Midwest. The result became speedy urbanization, or an increase of cities, in those areas.

The percentage of the population residing in cities came to be the most important in California, the Midwest, and the Northeast.

Learn more about New York here: https://brainly.com/question/23042891

#SPJ4

gunther posted an expensive item on an online auction site. dominic offers the highest bid and sends payment to gunther. gunther then refuses to send the product to dominic. gunther has committed:

Answers

Gunther has committed online auction fraud.

Online auction fraud typically occurs when a buyer is misled about the items or services they are purchasing on an online auction site, or when a seller is not paid for the things they are selling or is paid using fake debit or credit cards. Methods for combating online auction fraud are:

Keep proof: Maintain a copy of the transaction by taking screenshots of it on the website and storing them safely.Check the auction website: As soon as you can, get in touch with the auction site. They will begin their own internal processes to investigate by flagging the transaction or the listing.Review the terms and conditions of the auction site. See how the auction handles situations like yours in its policy.

To learn more about fraud refer:

https://brainly.com/question/1063454

#SPJ4

if the executives of the u.s. silicon-chip industry lobby congress for protection from imports on the grounds that theirs is a new industry that needs time to develop technological efficiency, they are using the:

Answers

If executives in the United States' silicon-chip sector import protection on the grounds that their industry is nascent and requires time to increase technological efficiency, they are utilizing the national security argument.

The United States of America, sometimes known as the United States or America, is a country in North America. It is made up of 50 states, a federal district, five large unincorporated territories, nine Minor Outlying Islands, and 326 Indian reservations. It is the third-largest country in terms of land area and total area. The United States shares geographical borders with Canada to the north and Mexico to the south. It shares maritime borders with the Bahamas, Cuba, Russia, and other countries.

It is the third most populated country in the world, with a population of over 331 million people. The United States is a highly developed country, and its economy is significant.

Learn more about utilizing here

https://brainly.com/question/14149928

#SPJ4

how would you align human resource plans in a project portfolio to an organization's strategic objectives?

Answers

Comprehend the business strategy; evaluate the existing situation;

Plan and implement the HR strategy; these are the some of the align HR in organizational strategic  plan.

How do you align the HR plan to the organizational strategic plan?

A company's long-term plan for how it will deploy its resources to support commercial operations is called an organizational strategy. It offers direction on how a business might accomplish its goals. These tactics are used by businesses to fulfill their objectives and create strategic plans.

Achieving the organization's objective depends on properly integrating the HR strategy with the business strategy.

Alignment connects strategy and execution through communication. In order to align strategies, HR must:

Comprehend the business strategy;

evaluate the existing situation;

Plan and implement the HR strategy;

Measure and evaluate results;

Make any necessary adjustments.

You may define priorities and give your company direction by developing an organizational plan. It outlines your definition of success and prioritizes the kinds of actions necessary to turn that definition into reality.

To learn more about organizational strategy refer to:

https://brainly.com/question/17924318

#SPJ4

Other Questions
(6 points) country day's scholarship fund received a gift of $47000. the money was invested in stocks, bonds, and cds for one year. the cds paid 1% interest, the bonds paid 3% interest, and the stocks paid 8% interest. the amount invested bonds was $18000 more than the amount invested in cds, and the total income for one year from the investments was $2620. how much was invested in each type? Question 2 (2 points)Which of the following was not a civilization that was thriving inthe year 1050?IncaChinaRussia an enzymatic weight-gain supplement claims to help users digest all carbohydrates in fruits and vegetables. what key enzyme would you hope to see on the label? Arun runs a farm stand that sells raspberries and grapes. Each pound of raspberriessells for $1.50 and each pound of grapes sells for $2.75. Arun made $130.25 fromselling a total of 66 pounds of raspberries and grapes, Determine the number ofpounds of raspberries sold and the number of pounds of grapes sold. Select the correct answer.Identify a central idea in the Bill ofRights.A.The monarch couldonly exercisepower as stated in the law.B.All people, regardless ofreligion, were equal under the lawC.The people surrendered some of theirrights to the monarch.D.People had aright to overthrow thegovernment If it failed. help pleasethank you in order to manage dialectical tension in their marriage, brianna and enrique decide they will dedicate certain times each week that they will spend together and other specific times to be on their own. they are using the strategy of: Evaluate the expression when m = -3.2m -7m+6 Would the damaged cells in the lymph nodes be immune cells or breast cells?Immune cellsBreast cells Part A Based on the beginning of "To Build a Fire," which inference can be made about the man? Responses He values the opinions of those with experience. He values the opinions of those with experience. He questions his ability to survive the cold. He questions his ability to survive the cold. He feels great affection for the dog. He feels great affection for the dog. He does not like to show any signs of weakness. He does not like to show any signs of weakness. On a map of Texas, the cities of Midland, Lubbock, and Odessa form a triangle.Midland is20 miles from Odessa, and Lubbock is 113 miles from Midland. What is the farthest,in miles,Odessa could possibly be from Lubbock? It takes 6 people pulling with a force of 500. N each to begin moving the opposing team which was pulling with a combined force of 2500. N during a match of tug-of -war. If the total mass of both teams was 2000. kg, what was the force due to static friction? HELP ME . What Is a factor?Hi The mid-ocean ridge is a divergent boundary where lava erupts onto the ocean floor. What type of igneous rock is this? on january 1, 2021, glanville company sold goods to otter corporation. otter signed an installment note requiring payment of $15,500 annually for six years. the first payment was made on january 1, 2021. the prevailing rate of interest for this type of note at date of issuance was 9%. glanville should record sales revenue in january 2021 of: Your city council is considering a proposal that would ban the use of cell phones in privately owned businesses such as restaurants, movie theaters, and retail stores. Violators would be subject to a fine. What is your position on this issue? Write a letter in which you convince the city council to support your position, giving strong evidence for your reasons. A steel ball is melted down to make eight smaller identical balls. If the radius of theoriginal steel ball was 20 cm, calculate to the nearest millimetre the radius of each of the smaller balls. if the mass of agno3 is 5,3g per spoon. calculate the concentration of the solution after two spoons have been added simplify this expression-123(-8+(-4)-6)+2 Discuss various tools for analytics of data from the primary and secondary sources including pros and cons of each tool.