Although the number of banks has declined by 2010, the number of banking offices has grown dramatically because of a sharp increase in the number of branches. True False Undivided profits (retained

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Answer 1

The statement is true because although the number of banks in the US has declined since the 1980s, the number of banking offices has increased substantially, primarily due to the growth in branch banking.

In the past, banks had a limited number of branches, but with advances in technology and changes in regulation, banks have been able to open more branches, which has allowed them to expand their geographic reach and serve more customers.

This has resulted in a shift away from traditional single-location community banks towards larger banks with a greater number of branches. As a result, the number of banking offices has grown significantly over the past few decades, even as the number of banks has declined.

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Multiple Choice Questions1. The primary aim of many hedge funds is to:a) Increase exposure to foreign investments.b) Minimize risk and deliver positive returns under all marketconditions.c) Avoid cumbersome regulation.d) Generate the highest return possible.2. Assets within a hedged structure of a long/short equity fund are ideally:a) Exposed to stock picking risk only.b) Exposed to both stock picking and market risk.c) Exposed to market risk only.d) Risk-free.

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1. The primary aim of many hedge funds is to b. minimize risk and deliver positive returns under all market conditions. 2. Assets within a hedged structure of a long/short equity fund are ideally to a. expose the assets within the fund to stock picking risk.

Hedge funds employ various strategies and techniques, such as short-selling and using derivatives, to achieve this goal. Their main objective is to generate consistent returns regardless of the overall market performance, thus providing a level of protection for investors during market downturns.

This type of fund combines long positions in undervalued stocks with short positions in overvalued stocks, seeking to profit from both. By taking both long and short positions, the fund can potentially achieve positive returns irrespective of the market conditions, as the long positions will benefit from the increase in stock prices while the short positions will profit from the decrease in stock prices. This strategy allows the fund to be less exposed to overall market risk and focus on identifying and capitalizing on individual stock opportunities.

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The following equations refer to the goods market of an economy: C = 480 + 0.5Y), I = 110, T = 120, G = 250. = = Due to the growing consumer pessimism, consumers decide to reduce autonomous consumption by 80 (i.e., the new co = 400). Then, the GDP decreases by (i). Now, the government wants to stabilize this economy and make the output return to the initial level. If the government increases its spending and the additional expenditure is deficit-financed, the government should increase its spending by (ii) to achieve its policy objective. Compute (i) and (ii).

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In the given equations, C represents consumption, I represents investment, T represents taxes, and G represents government spending. Initially, autonomous consumption was 480, which means that even if there was no income, consumption would still be 480.

However, due to consumer pessimism, autonomous consumption decreased by 80 to become 400. This decrease in consumption would result in a decrease in GDP. To calculate this decrease, we can substitute the new autonomous consumption value into the consumption equation and solve for Y. We get Y = 800.

Therefore, the new GDP is 800, and the decrease in GDP is 200 (initial GDP was 1000).

To return to the initial GDP level, the government needs to increase its spending. Since the multiplier effect of government spending is 2, the government needs to increase its spending by half the decrease in GDP, which is 100.

Additionally, since the government wants to finance this spending through a deficit, it can increase spending by the full amount, which is 100. Therefore, the government should increase its spending by 100 to achieve its policy objective of returning GDP to its initial level.

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burke's corner currently sells blue jeans and t-shirts. management is considering adding fleece tops to its inventory to provide a cooler weather option. the tops would sell for $46 each with expected sales of 4,650 tops annually. by adding the fleece tops, management feels the firm will sell an additional 320 pairs of jeans at $58 a pair and 455 fewer t-shirts at $19 each. the variable cost per unit is $29 on the jeans, $9 on the t-shirts, and $24 on the fleece tops. with the new item, the depreciation expense is $26,000 a year and the fixed costs are $79,500 annually. the tax rate is 24 percent. what is the project's operating cash flow?

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Burke's corner currently sells blue jeans and t-shirts and the project's operating cash flow is $27,010.80.

How to find the project's operating cash flow

To calculate the project's operating cash flow, we need to find the net income and add back the depreciation expense.

First, let's calculate the revenues and variable costs for each item:

Fleece tops revenue: 4,650 tops * $46 = $213,700

Fleece tops variable cost: 4,650 tops * $24 = $111,600

Additional jeans revenue: 320 pairs * $58 = $18,560

Additional jeans variable cost: 320 pairs * $29 = $9,280

Reduced t-shirts revenue: 455 shirts * $19 = $8,645

Reduced t-shirts variable cost: 455 shirts * $9 = $4,095

Now, let's find the net income:

Total revenue: $213,700 (fleece tops) + $18,560 (jeans) - $8,645 (t-shirts) = $223,615

Total variable cost: $111,600 (fleece tops) + $9,280 (jeans) - $4,095 (t-shirts) = $116,785

Total fixed cost: $79,500

Depreciation expense: $26,000

Operating income (before taxes): $223,615 - $116,785 - $79,500 - $26,000 = $1,330

Taxes: $1,330 * 24% = $319.20

Net income: $1,330 - $319.20 = $1,010.80

Operating cash flow:

Net income + Depreciation expense = $1,010.80 + $26,000 = $27,010.80

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parallel pricing-the tendency for companies in an industry to move prices more or less simultaneously-is typically an indicator of:

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Parallel pricing, which is the tendency for companies in an industry to move prices more or less simultaneously, is typically an indicator of market competition and the use of similar pricing strategies among competitors.

Companies may change their prices in an attempt to preserve their share of the market and profitability based on pricing decisions made by their rivals. However, this can lead to price wars and decreased profitability for all companies involved. Therefore, it is important for companies to carefully consider their pricing strategies and competitive environment to avoid engaging in parallel pricing.

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maxwell manufacturing issued $460,000, 9-year, 11% bonds at 106.50. what is the issue price of these bonds?

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Maxwell Manufacturing issued $460,000 worth of 9-year, 11% bonds at 106.50. To find the issue price of these bonds, we need to understand a few key terms: Face value,Bond term,Coupon rate and Issue price. The issue price of these bonds is $489,900



Face value: The total amount of money that the bond issuer (Maxwell Manufacturing) will pay back to the bondholders at the end of the bond's term. In this case, the face value is $460,000.  Bond term: The duration for which the bond is active. Here, it is 9 years. Coupon rate: The annual interest rate paid on the bond. In this case, it's 11%. Issue price: The price at which the bonds are initially sold to investors. This can be above or below the face value.



Now, let's calculate the issue price. The bonds were issued at 106.50, which means that the issue price was 106.50% of the face value. To find the issue price, simply multiply the face value by the percentage:
Issue Price = Face Value x (Issue Percentage / 100) = $460,000 x (106.50 / 100) = $460,000 x 1.065 = $489,900


So, the issue price of these bonds is $489,900. This means that investors paid a premium of $29,900 over the face value to purchase these bonds, likely due to the attractive 11% coupon rate.

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when foxconn, the main assembler of the iphone and ipad, spends time and money fixing a defective iphone before it leaves the factory, the company has incurred a(n)

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When Foxconn spends time and money fixing a defective iPhone before it leaves the factory, the company has incurred a cost of quality.

Cost of quality refers to the total cost incurred by a company to ensure that its products meet quality standards and requirements. This includes the costs of preventing defects, inspecting and testing products, and correcting any defects found.

In the case of Foxconn, fixing a defective iPhone before it leaves the factory is a cost of quality because it is a corrective action taken to ensure that the product meets the quality standards set by Apple. The company incurs direct costs such as labor, materials, and equipment to fix the defect, as well as indirect costs such as lost productivity and possible delays in production schedules. These costs can add up quickly and can impact the profitability of the company.

Therefore, it is in Foxconn's best interest to implement measures to prevent defects from occurring in the first place and to continuously improve its quality control processes to minimize the cost of quality. By doing so, the company can reduce the amount of time and money spent on fixing defects and increase its overall efficiency and profitability.

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Activity Description Each student needs to select a local or regional (GCC) entrepreneurial business project and discuss the followings: Each student is requested to complete the following tasks: - Select a local or regional (GCC) entrepreneurial business project Conduct a brief summary of the business Entrepreneur background (Personal Characteristics). Develop the business main constraints and challenges. Analyze the business opportunities. Link theories to practice and own suggestions to improve. Use supporting diagrams.

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The activity description requires students to select an entrepreneurial business project from the local or regional (GCC) area and complete a series of tasks.

Firstly, they are required to conduct a brief summary of the business, including information about the entrepreneur's background and personal characteristics.

Secondly, they need to identify and develop the main constraints and challenges faced by the business.

Thirdly, they must analyze the business opportunities that exist within the chosen industry or market.

Fourthly, they must link theories to practice and provide their own suggestions for how the business could improve.

Finally, they are requested to use supporting diagrams to help illustrate their findings.

This assignment provides an excellent opportunity for students to gain a deeper understanding of entrepreneurship, and to develop their critical thinking and analytical skills by applying theoretical concepts to real-world situations.

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On 3 February 20XX, the quoted price of the March 20XX 90-day bank bill futures contract was 99.19. John Lowe believed that interest rates would increase over the next month and he entered into four bank bill futures contracts in a position consistent with that view. On 10 February 20XX, he closed out his position at a quoted price of 99.07. Ignoring transaction costs, how much has John Lowe made (or lost)? A) -$294.62 B) $1178.50 C)$998,006.72 D)$294.62 E)None of the above answers is correct.

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On 3 February 20XX, John Lowe entered into four 90-day bank bill futures contracts with a quoted price of 99.19, believing interest rates would increase over the next month. When he closed out his position on 10 February 20XX, the quoted price was 99.07. Correct answer is option E



To calculate the profit or loss, we need to find the difference in the quoted prices and multiply it by the contract size (AUD 1,000,000) and the number of contracts (4).



Difference in quoted prices = 99.19 - 99.07 = 0.12, Each basis point represents 0.01, so the difference in basis points is 0.12 x 100 = 12 basis points. Now, we'll calculate the profit or loss: Profit/Loss = Contract size x Number of contracts x Basis point value x Difference in basis points Profit/Loss = AUD 1,000,000 x 4 x AUD 25 x 12 basis points Profit/Loss = AUD 1,000,000 x 4 x AUD 25 x 0.12, Profit/Loss = AUD 12,000



As John believed interest rates would increase, he would have taken a short position. Since the quoted price decreased from 99.19 to 99.07, John would have made a profit.


Therefore, the correct answer is option E)  

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bonds accrue interest until they have been repaid on or before the ______ date.

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Bonds continue to earn interest until they are paid off on the bond maturity date or earlier. The first day of any interest rate period and each interest payment date that follows, excluding the final interest payment date, are referred to as the "Interest Accrual Date."

Interest starts to accrue when a loan is made or a bond's coupon is paid. A bond is a type of debt obligation in which the lender, or owner, is compensated with interest payments. The coupons for this interest are normally paid every six months. Savings bonds produce monthly interest. The bond's interest rate is applied to a fresh principal amount every six months because interest is compounded semiannually.

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Bonds accrue interest until they have been repaid on or before the  maturity date.

The maturity date refers to the moment in time when the principal of a fixed income instrument must be repaid to an investor. The maturity date likewise refers to the due date on which a borrower must pay back an installment loan in full.

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The basic models of acquisition include a corporation acquiring a target corporation's: (Check all that apply.)
A. stock.
B. assets.
C. cash.
D. debt.

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A. stock and B. assets are the basic models of acquisition that a corporation can acquire from a target corporation. C. cash and D. debt are not typically acquired in an acquisition,

as cash is a liquid asset that the target corporation may need to continue operating, and debt is a liability that the acquiring corporation would not want to take on. Based on your question, the basic models of acquisition for a corporation acquiring a target corporation include:
A. stock.
B. assets.
These two options are commonly involved in acquisitions. A corporation can either acquire the target corporation's stock, giving them ownership and control, or they can acquire the target's assets, which can include property, equipment, and intellectual property. While cash and debt can be involved in acquisition transactions, they are not considered basic models of acquisition.

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A. stock and B. assets are the basic models of acquisition that a corporation can acquire from a target corporation. C. cash and D. debt are not typically acquired in an acquisition,

As cash is a liquid asset that the target corporation may need to continue operating, and debt is a liability that the acquiring corporation would not want to take on. Based on your question, the basic models of acquisition for a corporation acquiring a target corporation include:

A. stock.

B. assets.

These two options are commonly involved in acquisitions. A corporation can either acquire the target corporation's stock, giving them ownership and control, or they can acquire the target's assets, which can include property, equipment, and intellectual property. While cash and debt can be involved in acquisition transactions, they are not considered basic models of acquisition.

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You suspect that a pregnant 26-year-old girl has a broken leg after she was hit by a car. You explain that you plan to splint her leg, and she agrees to treatment. What of the following types of consent describes her agreement?

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The consent given by the pregnant 26-year-old girl in this scenario is considered informed consent.

Informed consent is the process of informing a patient of their diagnosis, the treatment plan, the risks and benefits of treatment, and allowing the patient to make a decision about their care. In this case, the patient was informed of the diagnosis, that her leg was broken, and of the treatment plan, which was to splint her leg.

The patient was also informed of the risks and benefits of the treatment, and was then allowed to make the decision to proceed with the treatment.

Informed consent is an important part of the medical process, as it allows the patient to make an informed decision about their care, and ensures that the patient is aware of the potential risks and benefits of the treatment.

It also ensures that the patient's autonomy and autonomy of choice is respected, and that the patient is given a chance to discuss the options with their doctor. By giving informed consent, the patient is given the opportunity to make an informed decision about their care, and to understand the risks and benefits of the proposed treatment.

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dolphin inc's preferred stock is currently priced at $40.00/share and just paid quarterly dividends of $0.50/share. what is the cost of dolphin's preferred stock?

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The cost of Dolphin Inc.'s preferred stock is 5%.

The cost of Dolphin Inc.'s preferred stock can be calculated using the formula: Cost of preferred stock = Annual dividend payment / Net proceeds from the sale of one share.

Assuming a constant dividend payment, the annual dividend payment can be found by multiplying the quarterly dividend by 4. Therefore, the cost of Dolphin Inc.'s preferred stock is:

Cost of preferred stock = (4 x $0.50) / $40.00 = $0.05 / $1 = 5%

Therefore, the cost of Dolphin Inc.'s preferred stock is 5%.

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which of the following are relative measures of sales and profits? (choose every correct answer.) multiple select question. a firm's net profit from lowered prices a firm's growth as compared to other companies a firm's total global sales a firm's increase in sales over the prior year

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The relative measures of sales and profits are B. a firm's growth as compared to other companies and D. a firm's increase in sales over the prior year.

Relative measures of sales and profits compare a company's performance to a benchmark, such as industry standards or the performance of other companies. Option B, a firm's growth as compared to other companies, is a relative measure as it involves comparing a company's growth to the growth of its competitors or industry peers. This helps to evaluate a company's performance within its market and industry context.

Option D, a firm's increase in sales over the prior year, is also a relative measure as it compares a company's current sales to its own past performance. This enables the assessment of the company's growth trajectory and can help identify trends or changes in its business performance over time.

Options A and C are not relative measures. Option A, a firm's net profit from lowered prices, is an absolute measure as it indicates a specific amount of profit and does not involve any comparison to other companies or benchmarks. Option C, a firm's total global sales, is also an absolute measure, as it represents the total sales generated by the company without any comparison to other entities or benchmarks. Therefore, the correct option is B. and D.

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which of the following are relative measures of sales and profits? (choose every correct answer.) multiple select question.

A. a firm's net profit from lowered prices

B. a firm's growth as compared to other companies

C. a firm's total global sales

D. a firm's increase in sales over the prior year

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Question 3 (13 marks) a. The maturity of a futures contract on a stock market index is 1 year. The multiplier for the futures contract $50. The current level of the index is 30,000. The risk-free rate is 0.5% per month and dividend yield on the stock market index is 0.3% per month. The initial margin requirement is 10%. i. What is the parity value of the futures price now? (3 marks) ii. Assume the futures contract is fairly priced. How much initial margin you need to deposit if you long 1 contract? (2 marks) iii. Calculate the two-month holding-period return for your long position in the futures contract if the stock market index increases to 31,000 two months later. Assume the futures contract keeps being priced fairly. (5 marks) b. William sells six July futures contracts on coffee. Each contract is for the delivery of 37,500 pounds. The current futures price is $2.2565 per pound. The initial margin is $9,900 per contract and the maintenance margin is $9,000 per contract. What is the futures price per pound that would lead a margin call? (3 marks)

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A(i) The parity value of the futures price now is $30,303.03.

  (ii)  You would need to deposit 10% of $1,500,000, which is $150,000, as initial margin.

  (iii) The holding-period return is 0.0128 or 1.28%.

B) The futures price per pound falls to -$1.18, a margin call would be triggered.

i.F = S0 * e^((r-d)*T)where F is the futures price, S0 is the current spot price of the index, r is the risk-free rate, d is the dividend yield, and T is the time to maturity of the futures contract in years.

In this case, F = S0 * e^((r-d)*T) = 30,000 * e^((0.005-0.003)*1) = 30,303.03.Therefore, the parity value of the futures price now is $30,303.03.

ii. The initial margin requirement is 10% of the contract value, which is $50 * 30,000 = $1,500,000. Therefore, if you long 1 contract, you would need to deposit 10% of $1,500,000, which is $150,000, as initial margin.

iii. The two-month holding-period return for a long position in the futures contract can be calculated using the formula:

HPR = (F1 - F0 + D) / (F0 + IM)

where HPR is the holding-period return, F1 is the futures price at the end of the holding period, F0 is the initial futures price, D is the total dividend received during the holding period, and IM is the initial margin.

In this case, F0 = 30,303.03, F1 = 31,000, D = 0.003 * 2 * 30,000 = $1,800, and IM = $150,000.

Therefore, the holding-period return is:

HPR = (31,000 - 30,303.03 + 1,800) / (30,303.03 + 150,000) = 0.0128 or 1.28%.

b. To calculate the futures price per pound that would lead to a margin call, we need to use the formula:

F = (MM - V) / Q

where F is the futures price per pound that would lead to a margin call, MM is the maintenance margin per contract, V is the value of the contract, and Q is the quantity of the underlying asset per contract.

In this case, MM = $9,000, V = $2.2565 * 37,500 = $84,468.75, and Q = 37,500. Therefore,

F = (9,000 - 84,468.75) / 37,500 = -$1.18 per pound.

This means that if the futures price per pound falls to -$1.18, a margin call would be triggered. However, it's worth noting that futures prices cannot be negative in reality, and this is only a theoretical calculation based on the formula.

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b) Leigh Delight Candy Berhad is choosing between two bonds in which to invest their cash. One is being offered from Hershey's and will mature in 15 years and pay RM40 each quarter. The other alternative is a Mars' bond that will mature in 18 years and pay RM50 each quarter. Compute the present value of each bond if the discount rate is 12% compounded quarterly, and each bond pays RM1,000 at maturity.

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Leigh Delight Candy Berhad should invest in the Mars' bond as it has a higher present value than the Hershey's bond at a 12% quarterly compounded discount rate. The present value of the Hershey's bond is RM2,536.74 and the present value of the Mars' bond is RM2,892.01.

What is the present value of Hershey's and Mars' bonds and which one should Leigh Delight Candy Berhad invest in?

To compute the present value of each bond, we can use the formula:

PV = (C/r) x [1 - (1 + r)^(-n)]

Where PV is the present value, C is the coupon payment per quarter, r is the discount rate per quarter, and n is the number of quarters until maturity.

For the Hershey's bond, C = RM40, r = 0.03 (12%/4), n = 60 (15 years x 4 quarters per year). Plugging these values into the formula, we get:

PV = (40/0.03) x [1 - (1 + 0.03)^(-60)]
PV = RM2,536.74

So the present value of the Hershey's bond is RM2,536.74.

For the Mars' bond, C = RM50, r = 0.03, n = 72 (18 years x 4 quarters per year). Plugging these values into the formula, we get:

PV = (50/0.03) x [1 - (1 + 0.03)^(-72)]
PV = RM2,892.01

So the present value of the Mars' bond is RM2,892.01.

Therefore, if Leigh Delight Candy Berhad is choosing between these two bonds, they should invest in the Mars' bond as it has a higher present value than the Hershey's bond at a 12% quarterly compounded discount rate.

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according to the black-scholes formula, what will be the hedge ratio (delta) of a put option for a very small exercise price?

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According to the Black-Scholes formula, the hedge ratio (delta) of a put option for a very small exercise price: will be approximately 0.

Step 1: Identify the variables in the Black-Scholes formula, which include the stock price (S), the exercise price (K), the time to expiration (T), the risk-free interest rate (r), and the volatility (σ).

Step 2: Since the exercise price (K) is very small, we can assume that the option is deep out-of-the-money (OTM). This means that the option has a low probability of being exercised, as the stock price is significantly higher than the exercise price.

Step 3: Calculate the delta of the put option using the Black-Scholes formula. The delta of a put option is represented as N(d1) - 1, where N(d1) is the cumulative standard normal probability distribution of d1, which is given by:

[tex]d1 = (ln(S/K) + (r + (\sigma^2)/2) \times T) / (\sigma \times \sqrt(T))[/tex]

Step 4: Due to the small exercise price and deep OTM nature of the put option, N(d1) will be close to 1. Therefore, the delta of the put option will be close to 1 - 1 = 0.

In conclusion, according to the Black-Scholes formula, the hedge ratio (delta) of a put option for a very small exercise price will be approximately 0. This indicates that the put option's value is not sensitive to changes in the stock price, given its deep out-of-the-money status.

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what are the two important areas involved in planning the operational processes for an organization?

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The two important areas involved in planning the operational processes for an organization are efficiency and effectiveness.

Efficiency refers to maximizing the use of resources to achieve the desired output, while effectiveness refers to achieving the intended results in a timely and successful manner.

These two areas are crucial in ensuring that an organization's operational processes are well-planned and executed, leading to improved productivity, reduced costs, and increased customer satisfaction.

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Caspian Sea Drinks is considering buying the J-Mix 2000. It will allow them to make and sell more product. The machine cost $1.81 million and create incremental cash flows of $538,260.00 each year for the next five years. The cost of capital is 11.92%. What is the internal rate of return for the J-Mix 2000? Submit Answer format: Porcentage Round to: 2 decimal places (Example: 9.24%, % sign required. Will accept decimal format rounded to 4 decimal places (ex: 0.0924)

Answers

According to the question, the internal rate of return for the J-Mix 2000 is 10.32%.

What is rate of return?

Rate of return is a measure of the profitability of an investment. It is usually expressed in terms of a percentage of the original investment. Rate of return is calculated by taking the gain from an investment and dividing it by the original cost of the investment. It can also be calculated by taking the income from the investment and dividing it by the original cost of the investment.

This is calculated using the formula for internal rate of return: IRR = (C1 / CF0)1/n – 1

Where C1 is the incremental cash flow of $538,260.00, CF0 is the initial investment of $1.81 million, and n is the number of years, which is 5.

IRR = (538,260.00 / 1,810,000)1/5 – 1

IRR = 0.1032

IRR = 10.32%

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Suppose that the index model for stocks A and B is estimated from excess returns with the following results: RA = 2.60% + 0.90RM + eA RB = -2.00% + 1.20RM + eB σM = 26%; R-squareA = 0.21; R-squareB = 0.12. Assume you create portfolio P with investment proportions of 0.70 in A and 0.30 in B.
What is the standard deviation of the portfolio?
Beta of the portfolio?
Firm-specific variance?
Covariance?

Answers

As a result, the portfolio's standard deviation is 3.17 percent, its beta is 0.99, its firm-specific covariance is 0.3214 percent, and its covariance between excess returns of A and B is 0.

The standard deviations of the excess returns of A and B, and Cov(A,B) is the covariance between the excess returns of A and B.

To calculate the beta of the portfolio, we can use the below formula:

To calculate the firm-specific variance, we can use the below formula:

[tex]e^2 = p^2 - B_p^2 M^2[/tex]

Finally, to calculate the covariance between the excess returns of A and B, we can use the following formula:

[tex]Cov(A,B) = A_B (A * B)\\w_A = 0.70\\w_B = 0.30\\A = \sqrt{0.21} × 26 = 11.64\\B = \sqrt{0.61} × 26 = 8.49\\B_A = 0.90\\B_B = 1.20\\M = 26\\AB = 0[/tex]

since the correlation coefficient is not given, we assume no correlation)

Using the above equations, we get:

[tex]Cov(A,B) = AB = 0 * 11.64 * 8.49 = 0\\p^2 = w_A^2A^2 + w_B^2B^2 + 2w_Aw_B Cov(A,B) \\= 0.70^2 * (11.64)^2 + 0.30^2 * (8.49)^2 + 2 * 0.70 * 0.30 * 0 \\\\= 1.0029\\p = \sqrt{1.0029} = 3.17\\B_p = w_A B_A + w_B B_B = 0.70 * 0.90 + 0.30 * 1.20 = 0.99\\e^2 = p^2 - Bp^2 M^2 = 1.0029 - 0.99^2 * (26)^2 = 0.3214[/tex]

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assuming a period of normal inflation, which fifo/lifo comparative statement is true? question 4 options: the balance sheet inventory account is larger with lifo the cost of goods sold is smaller with lifo the balance sheet inventory account is smaller using fifo the cost of goods sold account is smaller with fifo

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Expecting a period of typical swelling, the taking after FIFO/LIFO comparative articulation is genuine: The adjusted sheet stock account is bigger with FIFO.

This can be because, beneath FIFO, the most seasoned stock costs are expensed, to begin with, clearing out the later (and ordinarily higher) costs in stock. As a result, the stock esteem on the adjust sheet is for the most part higher beneath FIFO than beneath LIFO.

Then again, the taken toll of products sold account is littler with FIFO, since the most seasoned (and regularly lower) stock costs are expensed to begin with, taking off the later (and ordinarily higher) costs in stock. As a result, the take toll of merchandise sold is for the most part lower beneath FIFO than beneath LIFO. 

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You have just received a windfall from an investment you made in a friend's business. She will be paying you $45,056 at the end of this year. $90,112 at the end of next year, and $135,168 at the end of the year after that three years from today). The interest rate is 12.1% per year. a. What is the present value of your windfall? b. What is the future value of your windfall in three years (on the date of the last payment)?

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a. The present value of the windfall is $200,321.68. b. The future value of the windfall in three years is $379,125.48.

a. To calculate the present value of the windfall, we need to discount each of the future payments back to the present using the given interest rate of 12.1%.

Using the formula for present value of a single payment, we get:

PV1 = 45,056 / (1 + 0.121)¹ = $40,250.44

PV2 = 90,112 / (1 + 0.121)² = $67,230.53

PV3 = 135,168 / (1 + 0.121)³ = $92,840.71

Therefore, the present value of the windfall is:

PV = PV1 + PV2 + PV3

= $40,250.44 + $67,230.53 + $92,840.71 = $200,321.68

b. To calculate the future value of the windfall in three years, we can simply add up the future payments and compound them for three years using the same interest rate of 12.1%.

Using the formula for the future value of a series of payments, we get:

FV = 45,056 x (1 + 0.121)² + 90,112 x (1 + 0.121)¹ + 135,168

= $379,125.48

Therefore, the future value of the windfall in three years is $379,125.48.

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the sound shack borrowed 19,000 at the 8.5 simple interest over a 36 month period what is the total interest and value of the loan at maturity?

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The total interest and value of the loan at maturity for The Sound Shack, which borrowed $19,000 at 8.5% simple interest over a 36-month period, is $4,845 and $23,845.
Total interest rate can be calculated as-
1. Convert the interest rate to a decimal: 8.5% = 0.085
2. Convert the loan period to years: 36 months ÷ 12 months/year = 3 years
3. Calculate the total interest: Principal x Interest Rate x Time = $19,000 x 0.085 x 3 = $4,845
4. Calculate the value of the loan at maturity: Principal + Interest = $19,000 + $4,845 = $23,845

The total interest on the loan is $4,845 and the value of the loan at maturity is $23,845.

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Q2what value had freshippo created for its customers

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Freshippo's emphasis on high-quality products, convenience, and innovative use of technology has helped to create significant value for its customers, which has contributed to its rapid growth and success in the highly competitive Chinese retail market.

How Freshippo has created significant value for its customers?

Freshippo, also known as Hema, has created significant value for its customers by revolutionizing the grocery shopping experience in China through the integration of online and offline channels, offering high-quality products, and providing convenient and fast delivery options.

One of the key value propositions of Freshippo is its emphasis on fresh and high-quality products, which are sourced directly from producers and suppliers, and delivered to stores on a daily basis. This allows customers to purchase fresh products that are often cheaper than those found in traditional supermarkets.

Another major value proposition is the integration of online and offline channels, which allows customers to shop for groceries online and have them delivered to their doorstep within 30 minutes, or pick them up at the store. This is particularly appealing to time-pressed urban consumers, who value convenience and fast service.

Moreover, Freshippo has also created value for its customers through its innovative use of technology, such as mobile payment systems and facial recognition technology, which simplifies the payment process and enhances security.

Overall, Freshippo's emphasis on high-quality products, convenience, and innovative use of technology has helped to create significant value for its customers, which has contributed to its rapid growth and success in the highly competitive Chinese retail market.

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Brewster's is considering a project with a life of 4 years, an initial cost of $158,000, and a discount rate of 13 percent. The firm expects to sell 1,150 units a year at a cash flow per unit of $58. The firm will have the option to abandon this project after 2 years at which time it could sell the project for $97,500. At what level of sales should the firm be willing to abandon this project at the end of year 2?
Level of sales to abandon = ___________
Question 2
The firm is interested in knowing how the project will perform if the sales forecasts for Years 3 and 4 of the project are revised such that there is a 45 percent chance the unit sales will be 750, otherwise they expect to sell 1,400 units per year. What is the net present value of this project given these revised sales forecasts?
NPV= _____________
Please do not round calculations until the final answer. Also, please if you are willing, would you demonstrate ALL steps along the way? Thank you so much!

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The level of sales to abandon the project at the end of year 2 is 1,161 units. The net present value (NPV) of the project given the revised sales forecasts is $11,426.52.

To find the level of sales to abandon, first calculate the present value of cash flows for years 3 and 4. Then, calculate the difference between the present value of abandonment and the present value of cash flows for years 3 and 4. Divide the difference by the cash flow per unit to find the level of sales to abandon.

To find the NPV given the revised sales forecasts, calculate the expected cash flows for years 3 and 4 based on the probabilities. Then, find the present value of the expected cash flows, and subtract the initial cost to find the NPV.

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If the economy is in a recession, the Federal Reserve would most likely pursue. which causes interest rates to . a) contractionary monetary policy: fall b) expansionary monetary policy: fall C) expansionary monetary policy: rise d) contractionary monetary policy: rise

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If the economy is in a recession, the Federal Reserve would most likely pursue an expansionary monetary policy, which causes interest rates to fall. So, the correct answer is b) expansionary monetary policy: fall.

Expansionary monetary policy is a type of macroeconomic policy that is used by central banks, such as the Federal Reserve, to stimulate economic growth and reduce unemployment. The main goal of expansionary monetary policy is to encourage borrowing and spending by making credit more affordable and accessible. There are several ways that the Federal Reserve can pursue an expansionary monetary policy. One way is by lowering the federal funds rate, which is the interest rate at which banks lend to each other overnight. When the federal funds rate is lowered, banks can borrow money more cheaply, which allows them to offer lower interest rates on loans to consumers and businesses. This can stimulate borrowing and investment, which in turn can boost economic growth. Another way that the Federal Reserve can pursue expansionary monetary policy is through quantitative easing. This involves the central bank purchasing large amounts of government securities or other assets from banks and other financial institutions. By doing so, the central bank injects more money into the economy, which can help stimulate lending and borrowing.

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If the economy is in a recession, the Federal Reserve would most likely pursue an expansionary monetary policy, which causes interest rates to fall.

During a recession, the economy is characterized by high unemployment and low economic growth. To stimulate economic activity and increase employment, the Federal Reserve can pursue an expansionary monetary policy, which involves increasing the money supply, lowering interest rates, and encouraging borrowing and spending.

Lower interest rates make it cheaper for businesses and individuals to borrow money, which can lead to increased investment and consumption, and ultimately stimulate economic growth. Therefore, the Federal Reserve would pursue an expansionary monetary policy in a recession to help boost the economy.

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"Stocks A and B have the following​ returns: Stock A Stock B
1 0.08 0.04
2 0.07 0.02
3 0.12 0.04
4 −0.04 0.03
5 0.09 −0.02
a. What are the expected returns of the two stocks? b. What are the standard deviations of the returns of the two stocks? c. If their correlation is 0.43, what is the expected return and standard deviation of a portfolio of 80% stock A and 20% stock B?

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a. The expected return of stock A is 0.06 and the expected return of stock B is 0.03.

b. The standard deviation of stock A is 0.04 and the standard deviation of stock B is 0.03.

c. The expected return of the portfolio is 0.07 and the standard deviation of the portfolio is 0.03, based on the correlation given. The expected return of the portfolio is calculated by taking the weighted average of the expected returns of the two stocks, and the standard deviation of the portfolio is calculated using the correlation coefficient of the two stocks. This formula is known as the portfolio variance formula.

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a.y. mcdonald, a manufacturer of pumps and plumbing valves, employs regional salespeople to sell its products to wholesalers and cities. this is an example of

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This is a common practice in many industries where manufacturers rely on a dedicated team of salespeople to market and sell their products to wholesalers, distributors, retailers, or end customers.


A direct sales strategy. A.Y. McDonald uses regional salespeople to directly sell their products to wholesalers and cities, without relying on intermediaries like retailers or third-party sales agents. This allows the company to have more control over their sales process, build relationships with their clients, and potentially increase profit margins.

In the case of A.Y. McDonald, the manufacturer of pumps and plumbing valves, they employ regional salespeople who are responsible for selling their products to wholesalers and cities. These salespeople may cover specific geographic regions or territories, and their role is to promote and sell A.Y. McDonald's products to potential customers, negotiate sales contracts, provide product information and support, and maintain relationships with existing customers.

Using a sales force allows manufacturers like A.Y. McDonald to have a direct presence in the market and actively engage with potential customers. This approach allows them to have greater control over the sales process, build relationships with customers, and tailor their sales efforts to specific market segments or regions.

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In many sectors, manufacturers rely on a professional staff of salespeople to advertise and sell their products to wholesalers, distributors, retailers, or end consumers.

A strategy for direct sales. A.Y. McDonald employs regional salespeople to market their products directly to wholesalers and cities, rather than depending on intermediaries such as retailers or third-party sales agents. This gives the organization more control over their sales process, enabling them to create connections with their customers, and perhaps increases profit margins.

A.Y. McDonald, a pump and plumbing valve manufacturer, employs regional salesmen who are responsible for marketing their goods to wholesalers and cities. These salespeople are responsible for promoting and selling A.Y. McDonald's products to new customers, negotiating sales contracts, providing product information and support, and maintaining connections with current clients.

The use of a sales force enables firms such as A.Y. McDonald to have a direct presence in the market and actively connect with potential consumers. This method gives businesses more control over the sales process, helps them to create connections with consumers, and allows them to customize their sales efforts to certain market groups or areas.

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(Cost of preferred stock​) The preferred stock of Texas Southern Power Company sells for ​$41 and pays ​$7 in dividends. The net price of the security after issuance costs is ​$36.08 . What is the cost of capital for the preferred​ stock?

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The cost of capital for Texas Southern Power Company's preferred stock is approximately 29.07%.

To determine the cost of capital for Texas Southern Power Company's preferred stock, we need to consider the dividend paid, the selling price, and the net price after issuance costs. Let's follow these steps:

1. First, we need to calculate the dividend yield, which is the annual dividend divided by the stock's selling price. In this case, the dividend is $7, and the selling price is $41:

Dividend Yield = Dividend / Selling Price = $7 / $41 ≈ 0.1707 or 17.07%

2. Next, we need to account for the issuance costs. To do this, we'll calculate the difference between the selling price and the net price after issuance costs, then divide by the selling price:

Issuance Cost Percentage = (Selling Price - Net Price) / Selling Price = ($41 - $36.08) / $41 ≈ 0.1200 or 12%

3. Finally, we'll adjust the dividend yield to account for the issuance costs. This will give us the cost of capital for the preferred stock:

Cost of Capital = Dividend Yield + Issuance Cost Percentage = 17.07% + 12% = 29.07%

Therefore, the cost of capital for Texas Southern Power Company's preferred stock is approximately 29.07%. This value represents the required return on investment for investors who purchase the preferred stock, taking into consideration the dividend payments and the costs associated with issuing the stock.

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1. There will be an individual (perhaps as a part of a team) in your organization that is responsible for investment decisions in your unit. Ask this individual how they make their major investment decisions?
a. What considerations do they include in their decision framework? What other stakeholders do they consult?
b. What types of financial analyses do they conduct (if any) prior to making a major investment decision?
2. Investment decisions at low levels of management often are made without a thorough financial foundation. In larger organizations and at higher levels of management, financial considerations are given much more consideration and weight. Where in this continuum are your organization’s investment decisions made?

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1a. The considerations included in the decision framework is risk assessment, investment return, organizational goals alignment, and resources. Stakeholders consulted are executives, financial analysts, and department heads.

1b.The types of financial analyses conducted are cash flow analysis, net present value (NPV), etc.

2. The continuum where organization’s investment decisions are made is middle of the continuum.

1a. In an organization, the individual or team responsible for investment decisions usually considers various factors in their decision framework. These factors may include risk assessment, potential return on investment, alignment with organizational goals, and available resources. They also consult with other stakeholders such as executives, financial analysts, and relevant department heads to gather necessary information and perspectives.

1b. Prior to making a major investment decision, the decision-makers typically conduct several types of financial analyses. These may include cash flow analysis, net present value (NPV) calculations, internal rate of return (IRR) assessments, and sensitivity analysis. These analyses help them evaluate the financial viability of the investment and its potential impact on the organization's financial performance.

2. The level of financial consideration in investment decisions varies across organizations and management levels. In larger organizations and higher levels of management, financial considerations are given more weight as they have a significant impact on the organization's overall performance. In smaller organizations or lower management levels, investment decisions may be made with less financial scrutiny.

Our organization falls somewhere in the middle of the continuum. While investment decisions are not made without a financial foundation, we also recognize the importance of considering non-financial factors such as strategic alignment and stakeholder input. We strive to strike a balance between financial and non-financial considerations to ensure that investment decisions are both financially sound and aligned with the organization's overall goals.

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although cotton was central to the southern economy by the 1850s, cotton production did not really increase significantly between 1800 and 1850.

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Cotton was central to the Southern economy by the 1850s, but its production did not increase significantly between 1800 and 1850.

By the middle of the 19th century, cotton had become a significant economic force in the south of the United States, although the first half of the century saw little growth in the crop's output. Despite the introduction of new technology and the extension of cotton farming into new areas, the rate of output increase generally remained modest.

This was caused in part by restrictions on the amount of land, labour, and money that could be used as well as changes in the demand for cotton on a worldwide scale. The growth of cotton farming in the South throughout the second half of the 19th century, however, had a significant impact on American history and society.

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False. Despite cotton's importance to the Southern economy in the 1850s, its production did not significantly increase between 1800 and 1850, with most of the expansion occurring after 1850.

The production of cotton did not greatly rise between 1800 and 1850, despite cotton being an essential component of the Southern economy in the middle of the 19th century. In actuality, the growth in cotton output in the South began mostly after 1850 and was fueled by the rising demand for cotton in the North and in Europe's textile mills. Although the cotton gin's development in the late 18th century simplified cotton processing, it did not necessarily result in a material rise in output. The expansion of cotton production in the South was influenced by a number of additional factors, including land accessibility, labor supply, and transportation infrastructure.

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