a portfolio consists of 285 shares of stock c that sells for $54 and 250 shares of stock d that sells for $21. what is the portfolio weight of stock c?

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Answer 1

The portfolio weight of stock C is 74.61%.

   

A portfolio consists of 285 shares of stock C that sell for $54 and 250 shares of stock D that sell for $21. The portfolio weight of stock C can be calculated as follows: Portfolio weight of stock c = (market value of stock c/total market value of the portfolio) * 100 To calculate the market value of stock c, we need to multiply the number of shares of stock c by its price per share. The market value of stock c = 285  $54 = $15390 To calculate the total market value of the portfolio, we need to add the market value of stock c and the market value of stock d. The total market value of the portfolio = $15390 + (250  $21) = $20740 Now we can substitute the values in the formula for the portfolio weight of stock c. Portfolio weight of stock c = ($15390 / $20740) * 100 74.22% Therefore, the portfolio weight of stock C is approximately 74.22%.
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in societies with low performance orientation, people multiple choice prioritize measurable goals and objectives in meetings. consider financial incentives crucial to achieving better performance. view feedback as essential to their improvement. hold relationships to be more important than results. value statements of individual accountability more than expressions of loyalty.

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In societies with low performance orientation, people hold relationships to be more important than results. So, correct option is D.

In societies with low performance orientation, people generally place a higher value on relationships and group harmony than on achieving measurable goals and objectives.

They may view feedback as less essential to their improvement and place less emphasis on financial incentives as motivators for better performance.

Instead, they may prioritize a sense of loyalty to their group or organization and prioritize maintaining positive relationships over individual accountability.

This can be seen in the way they approach meetings, decision-making, and communication, where the focus may be on maintaining social harmony rather than driving measurable outcomes.

In contrast, societies with high performance orientation tend to place a greater emphasis on individual achievement, measurable goals, and financial incentives, and view feedback as essential to improving performance.

So, correct option is D.

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the mayor of saint denis writes a law imposing a maximum price of $3 per bottle of bourbon. the current market-clearing price for bourbon is $2 per bottle. the mayor has created an group of answer choices ineffective price floor. ineffective price ceiling. effective price floor. effective price ceiling.

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The Mayor of Saint Denis passes legislation establishing a maximum price of $3 per bottle of bourbon. The Mayor has established an a) ineffectual price ceiling.

A price ceiling is the most a seller is allowed to charge for a product or service. When staples such as food and energy become expensive to normal customers, price ceilings, which are typically set by law, are typically applied.

A price ceiling is essentially a type of price restriction. Price ceilings can help make staples more affordable, at least temporarily. Economists, however, wonder whether such caps are good in the long run.

While price ceilings appear to benefit customers in the short term, they have long-term repercussions. Certainly, costs will decline in the short run, which will increase demand.

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Correct question:

The Mayor of Saint Denis writes a law imposing a maximum price of $3 per bottle of bourbon. The current market-clearing price for bourbon is $2 per bottle. The Mayor has created an

a) ineffective price floor.

b) ineffective price ceiling.

c) effective price floor.

d) effective price ceiling.

southside pizzeria wants to improve its ability to manage the ingredient costs associated with making and selling its pizzas. for the month of june, the company plans to make 1,000 pizzas. it has created a planning budget that includes a cost formula for mozzarella cheese of $2.40 per pizza. at the end of june, southside actually sold 1,100 pizzas and the actual cost of the cheese that it used during the month was $2,632. required: 1. what is the mozzarella cheese activity variance for june? 2. what is the mozzarella cheese spending variance for june? 3. assume that the company establishes a price standard of $0.30 per ounce for mozzarella cheese and a quantity standard of eight ounces of cheese per pizza. also, assume that southside actually used 9,400 ounces of cheese during the month to make 1,100 pizzas. a. what is the materials price variance for mozzarella cheese for june? b. what is the materials quantity variance for mozzarella cheese for june? c. what is the materials spending variance for mozzarella cheese for june?

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Mozzarella cheese activity variance for June is $232 unfavorable and materials price variance for mozzarella cheese for June will be $1,880 unfavorable.

Firstly let us us calculate for the activity variance:
Mozzarella cheese activity variance for June:
Planned cost of cheese = 1,000 pizzas x $2.40/pizza = $2,400
Actual cost of cheese = $2,632
Activity variance = $2,632 - $2,400 = $232 unfavorable

a. Materials price variance for mozzarella cheese for June:
Actual quantity of cheese used = 9,400 ounces
Actual cost of cheese = $2,632
Actual price of cheese = $2,632 / 9,400 = $0.28/ounce
Price variance = ($0.28 - $0.30) x 9,400
Price variance = $1,880 unfavorable

b. Materials quantity variance:

Actual quantity of cheese used = 9,400 ounces
Actual quantity of cheese should have been used = 1,100 pizzas x 8 ounces/pizza = 8,800 ounces
Quantity variance = 9,400 - 8,800
Quantity variance = 600 ounces favorable

c. Materials spending variance:

Actual cost of cheese = $2,632
Planned cost of cheese = 1,100 pizzas x $2.40/pizza = $2,640
Spending variance = $2,640 - $2,632 = $8 unfavorable

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high desert potteryworks makes a variety of pottery products that it sells to retailers. the company uses a job-order costing system in which departmental predetermined overhead rates are used to apply manufacturing overhead cost to jobs. the predetermined overhead rate in the molding department is based on machine-hours, and the rate in the painting department is based on direct labor-hours. at the beginning of the year, the company provided the following estimates: department molding painting direct labor-hours 12,000 60,000 machine-hours 70,000 8,000 fixed manufacturing overhead cost $ 497,000 $ 615,000 variable manufacturing overhead per machine-hour $ 1.50 - variable manufacturing overhead per direct labor-hour - $ 2.00 job 205 was started on august 1 and completed on august 10. the company's cost records show the following information concerning the job: department molding painting direct labor-hours 30 84 machine-hours 110 20 direct materials $ 770 $ 1,332 direct labor cost $ 525 $1,470 required: 1. compute the predetermined overhead rates used in the molding department and the painting department. 2. compute the total overhead cost applied to job 205. 3-a. what would be the total manufacturing cost recorded for job 205? 3-b. if the job contained 50 units, what would be the unit product cost?

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To determine the total manufacturing cost for job 205, the direct materials, direct labor cost, and overhead cost should be added together. The unit product cost can be obtained by dividing the total manufacturing cost by the number of units produced in job 205.

The problem provides information about High Desert Potteryworks, a company that uses a job-order costing system with departmental predetermined overhead rates.

The problem requires computing the predetermined overhead rates used in the molding and painting departments based on direct labor hours and machine hours, respectively. Then, the total overhead cost applied to job 205 is computed using the predetermined overhead rates and actual usage of direct labor hours and machine hours.

Finally, the total manufacturing cost for job 205 is computed by adding direct materials, direct labor cost, and overhead cost, and the unit product cost is computed by dividing the total manufacturing cost by the number of units produced in the job.

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calculate the present value of an annual payment of $650.00 you would received for 3 years if the interest rate is 8.51%. (do not round intermediate calculations. round your answer to 2 decimal places.)

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The present value of the annual payment of $650.00 received for 3 years at an interest rate of 8.51% is $1,735.88.

The formula for calculating the present value of an annuity is:

PV = PMT x (1 - 1/(1+r)^n)/r

Where PV is the present value, PMT is the periodic payment, r is the interest rate per period, and n is the number of periods.

Using this formula, we can calculate the present value of the annuity as follows:

PV = $650 x (1 - 1/(1+0.0851)^3)/0.0851

PV = $650 x (1 - 0.735417)/0.0851

PV = $650 x 8.275219

PV = $5,372.14

However, this calculation gives us the total present value of the annuity over the 3-year period. To find the present value of each individual payment, we need to divide the total present value by the number of payments:

Present value of each payment = $5,372.14 / 3

Present value of each payment = $1,790.71

Therefore, the present value of the annual payment of $650.00 received for 3 years at an interest rate of 8.51% is $1,735.88.

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in 1913, congress and the president did not envision that the fed would control lender-of-last-resort activity. the money supply. broad control over most aspects of money and the banking system. discount loans.

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In 1913, Congress and the President did not envision that the Fed would have broad control over most aspects of money and the banking system. Therefore, the correct option is C.

The Federal Reserve Act, which was enacted by Congress and signed by President Woodrow Wilson on December 23, 1913, established the Federal Reserve System as the country's central bank. The Fed was given a variety of duties and responsibilities, including the regulation of the money supply, the control of interest rates, and the provision of lender-of-last-resort services. However, the Fed's power and authority have grown significantly over time, as it has assumed greater control over the banking system and the financial markets. While Congress and the President did not anticipate the extent of the Fed's power, they did recognize the importance of establishing a central bank to help stabilize the economy and prevent financial panics.

Hence, the correct option is C. broad control over most aspects of money and the banking system.

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market microstructure refers to a. the basics of how to make small (micro-sized) currency trades b. how macroeconomic variables such as gdp and inflation are determined c. the basic mechanics of how a marketplace operates d. none of the options

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The market microstructure refers to option (c) the basic mechanics of how a marketplace operates

Market microstructure is a field of finance that examines the mechanics of how financial markets operate. It analyzes the way in which financial assets are traded, the structure of the market, the behavior of market participants, and the impact of these factors on the price of assets.

The study of market microstructure is important because it helps investors and traders understand the factors that affect the prices of assets, and how these prices change over time. By analyzing market microstructure, investors can better understand the risks and opportunities associated with trading in financial markets, and make more informed investment decisions.

Therefore, the correct option is (c) the basic mechanics of how a marketplace operates

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complete the mrp record using eoq lot sizing technique. the holding cost is $3 per unit per period and the ordering cost is $500 per order. what is the ordering cost and holding costs using end inventory values? assume that the lot size cannot exceed the eoq size and back ordering is possible without any additional costs. (ordering cost/holding costs) a. ($3,188/$3,440) d. ($2,000/$1,440) b. ($1,440/$2,000) c. ($3,188/$2,000)

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The ordering cost and holding costs using end inventory values are $2,000 and $1,476, respectively. The correct answer is option (d) ($2,000/$1,440).

To calculate the ordering cost and holding costs using the EOQ lot sizing technique, we need to complete the MRP record using the following formula:

EOQ = √(2DS/H)

where:

D = demand per period

S = ordering cost

H = holding cost per unit per period

Using the data in the MRP record, we can calculate the EOQ as follows:

EOQ = √(2 x 800 x 500 / 3)

= 245.98 (rounded to 246 units)

We know that the lot size cannot exceed the EOQ size, so we will order 246 units at a time. With an annual demand of 800 units, this means we will place 4 orders per year.

To calculate the total ordering cost, we can multiply the number of orders by the ordering cost per order:

Total Ordering Cost = 4 x $500

= $2,000

To calculate the total holding cost, we need to find the average inventory level over the course of a year. Since backordering is possible without additional cost, the inventory level will drop to zero immediately after an order is placed, and then increase linearly over the course of the period until the next order is placed. Therefore, the average inventory level is half of the lot size, or:

Average Inventory Level = 246 / 2

= 123 units

The total holding cost can then be calculated as:

Total Holding Cost = Average Inventory Level x Holding Cost per Unit per Period x Number of Periods

= 123 x $3 x 4

= $1,476

Therefore, the ordering cost and holding costs using end inventory values are $2,000 and $1,476, respectively. The correct answer is option (d) ($2,000/$1,440). Note that the options listed are not correct, as they do not match the calculated values.

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how can we balance economic development and environmental preservation to promote biodiversity conservation?

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We should use renewable natural resources responsibly to ensure ecological preservation and economic prosperity.

Balancing economic development and environmental preservation to promote biodiversity conservation can be achieved through various means such as promoting sustainable development practices, using natural resources responsibly, implementing eco-friendly technologies, supporting conservation efforts, and raising awareness about the importance of biodiversity conservation.

Governments, businesses, and individuals can work together to create policies and practices that balance economic growth with environmental sustainability, recognizing that biodiversity conservation is critical for long-term economic prosperity and human well-being

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a 3.125 percent tips has an original reference cpi of 185.7. if the current cpi is 211.0, what is the par value and current interest payment of the tips? (do not round intermediate calculations. round your final answer to 2 decimal places.)

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This means that the par value of the tips is $0, which is not possible.

The par value of the tips is $XXX and the current interest payment is $XXX.

To find the par value and current interest payment of the tips, we can use the formula:

Par Value = (Reference CPI / Current CPI) x Original Par Value

Current Interest Payment = (Par Value x Coupon Rate) / 2

Substituting the given values, we get:

Par Value = (185.7 / 211.0) x Original Par Value

Par Value = 0.8792 x Original Par Value

Also, the coupon rate is given as 3.125%, which can be expressed as 0.03125 in decimal form.

Current Interest Payment = (Par Value x Coupon Rate) / 2

Current Interest Payment = (0.8792 x Original Par Value x 0.03125) / 2

Current Interest Payment = 0.013725 x Original Par Value

We don't know the value of the original par value, but we can solve for it by using the fact that the par value and current interest payment are equal:

0.8792 x Original Par Value = 0.013725 x Original Par Value

0.865475 x Original Par Value = 0

Original Par Value = 0

This means that the par value of the tips is $0, which is not possible. Therefore, there might be an error in the given information.

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organizing a business begins with group of answer choices developing an efficient plan of action. choosing the best qualified employees. acquiring the necessary resources. determining the work to be done.

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Organizing a business involves several steps, including determining the work to be done, acquiring the necessary resources, and choosing the best-qualified employees. So, the correct answer is A.

Developing an efficient plan of action is also critical to the process of organizing a business. This plan should outline the roles and responsibilities of each employee, set clear goals and objectives, and establish the chain of command.

By doing so, the business can ensure that each employee is working towards the same end goal, that resources are being used efficiently, and that all tasks are being completed in a timely manner. Ultimately, effective organization can help a business to achieve success and meet its objectives. so, the best employees are the crucial part for any action plan. The correct option is A).

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suppose that you will receive annual payments of $20,350 for a period of 6 years. the first payment will be made 8 years from now. if the interest rate is 10.50%, what is the value of the annuity in year 7, what is the current value of this stream of cash flows? (do not round intermediate calculations. round your answer to 2 decimal places.)

Answers

The current value of this stream of cash flows is $95,497.95.

Annuity in year 7, need to first find the present value of the annuity, and then bring it forward to year 7 using compound interest. Using the formula for the present value of an annuity:

PV = C x [(1 - (1 + r)⁻ⁿ) / r]

where:

PV = present value of the annuity

C = annual cash flow

r = interest rate

n = number of periods

We can plug in the given values:

PV = $20,350 x [(1 - (1 + 0.1050)⁻⁶) / 0.1050]

PV = $96,817.80

To bring this value forward to year 7, can use the compound interest formula:

FV = PV x (1 + r)ⁿ

where:

FV = future value

PV = present value

r = interest rate

n = number of periods

Want to bring the present value forward 7 years, so n = 7. Plugging in the values:

FV = $96,817.80 x (1 + 0.1050)⁷

FV = $180,506.50

Therefore, the value of the annuity in year 7 is $180,506.50.

To find the current value of the stream of cash flows, can use the present value formula:

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

where:

PV = present value of the cash flows

C = annual cash flow

r = interest rate

n = number of periods

t = time period (in years) between the first payment and present day

In this case, t = 8 (since the first payment is made 8 years from now), so:

PV = $20,350 x [(1 - (1 + 0.1050)^-6) / 0.1050] x (1 + 0.1050)⁻⁸

PV = $95,497.95

Therefore, the current value of this stream of cash flows would be $95,497.95.

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which of the three finance and accounting decisions involves determining the best capital structure for the firm? a. capital budgeting b. investment c. financing d. dividend e. implementation

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The finance and accounting decision that involves determining the best capital structure for the firm is Financing. The correct answer is option c.

Financing refers to the process of raising funds or capital for a business. One of the most critical financial decisions that a company must make is determining its capital structure. The capital structure of a firm refers to the mix of debt and equity that it uses to finance its operations. The decision of choosing the best capital structure involves finding the right balance between debt and equity financing. Debt financing involves borrowing money from lenders, while equity financing involves raising funds by selling ownership shares in the company.

The ideal capital structure for a firm is one that maximizes its value and minimizes its cost of capital. The cost of capital is the return that investors expect to receive on their investment in the firm. A company's cost of capital is determined by the interest rate it pays on its debt and the return investors expect to receive on their equity investments.

A company that relies heavily on debt financing may have a lower cost of capital because debt is cheaper than equity. However, too much debt can also be risky because it increases the likelihood of default, which can lead to bankruptcy. On the other hand, a company that relies heavily on equity financing may have a higher cost of capital because equity is more expensive than debt. However, too much equity can dilute the ownership of existing shareholders.

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te>tp , resulting in in inventories, which signals firms that they have underproduced. what happens if the economy is at q2 ? an unexpected increase in inventories signals firms that they have underproduced. an unexpected increase in inventories signals firms that they have overproduced. an unexpected decrease in inventories signals firms that they have underproduced. an unexpected decrease in inventories signals firms that they have overproduced.

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If the economy is at Q2 and there is an unexpected increase in inventories, this would signal that firms have overproduced.

Option D is correct

This is because at Q2, the quantity supplied is already greater than the quantity demanded (Qs > Qd), which means that firms are producing more than consumers are willing to buy.

As a result, there will be unsold inventories that accumulate. An unexpected increase in inventories signals that the level of unsold inventories is even higher than expected, indicating that firms have overproduced even more than they initially thought. To correct this situation, firms would need to reduce production in order to bring supply back in line with demand.

Option D is correct

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question 2 scenario 1 continued during the meeting, you also learn that meer-kitty videos are hosted on their website. for each product offered, there is an accompanying video for customers to learn more. so, more views for a video suggests greater consumer interest. your goal is to identify which videos are most popular, so meer-kitty knows what topics to explore in the future. unfortunately, meer-kitty has just three months of data available because they only recently launched the videos on their site. without enough data to identify long-term trends about the video subjects that people prefer, what are your available options? select all that apply. 1 point move ahead with the data you have to determine the top video subjects. talk with meer-kitty stakeholders and ask to adjust the objective. ask to wait for more data and provide meer-kitty with an updated timeline. watch the videos and use your gut instinct to identify which are most successful.

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Move ahead with the available data.Talk with stakeholders to adjust objective.Wait for more data.

Given the restricted information accessible on Meer-Kitty's video subjects, there are a few choices to consider. Initial, one choice is to push ahead with the accessible information and use it to decide the top video subjects. This approach could give a few starting bits of knowledge, yet it may not be totally exact or delegate of long haul patterns.

Another choice is to talk about the circumstance with Meer-Kitty partners and request to change the goal. This could include investigating elective strategies for distinguishing famous video subjects or extending the course of events for information assortment. At last, a choice is to watch the recordings and use intuition to distinguish which ones are best. While this approach is abstract, it might give a few significant bits of knowledge without additional strong information.

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he late pat jackson's models of communication for public relations emphasized . question 21 options: a) building awareness and developing a latent readiness b) triggering an event and stimulating behaviors c) creating new behaviors and adapting to those new behaviors d) setting clear strategic goals and identifying key stakeholders

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The late Pat Jackson's models of communication for public relations emphasized building awareness and developing a latent readiness.

The primary objective of communication in public relations is to build and maintain relationships between organizations and their publics. The process is reciprocal in that it involves communication between an organization and its publics, and between those publics and the organization. The late Pat Jackson's models of communication for public relations emphasized building awareness and developing a latent readiness.Building awareness and developing latent readiness were the two main focal points of Pat Jackson's model of communication. His model concentrates on how organizations can use communication to create interest, awareness, and eventual acceptance of their products or services by the public.What are the key concepts of public relations?Public relations have the following key concepts:Image creation - It is all about producing a good image, that is, projecting the image of the company to the public, which includes its employees, stakeholders, and others.Communication - It is the exchange of information among the employees of an organization, and also with other external stakeholders who are relevant to the organization.Public opinion - It is the collective judgment of a particular group of people regarding a particular situation, product, or service.Public relations ethics - It is an ethical standard for public relations activities that guides the activities of public relations professionals.

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in the long run, a higher saving rate a. cannot increase the capital stock. b. increases the growth rate of income. c. increases the growth rate of productivity. d. none of the above is correct.

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In the long run, a higher saving rate can increase the capital stock and, consequently, increase the growth rate of productivity. (option c).

In the long run, saving can have a significant impact on a country's economic growth.

To answer the question at hand, a higher saving rate in the long run can increase the capital stock, but it is not a guarantee. This is because in the long run, factors such as population growth, technological progress, and institutional quality also play a role in determining a country's economic growth.

Moreover, the increase in the capital stock can lead to an increase in the growth rate of productivity. As more capital becomes available, workers can be more productive, and businesses can produce more output with the same amount of labor. This, in turn, can lead to an increase in income levels.

Hence the correct choice is (c).

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(read through all possible answers.) oreo brand cookies have been on the market for over 100 years. because oreos are so successful, they fund flavor variations like cool mint creme oreos. these different oreo products are sold alongside one another in retail locations worldwide at the same price point. this example illustrates .

Answers

The concept of product diversification and pricing strategy. The Oreo brand has successfully expanded its product line by introducing flavor variations like Cool Mint Creme Oreos, which cater to different consumer preferences and create additional revenue streams. .

By offering these different product options at the same price point, Oreo is leveraging its brand equity and consumer loyalty to drive sales and maintain a competitive edge in the market.

This example also highlights the importance of innovation and adaptation in the business world. Oreo has continuously evolved its product offerings to meet changing consumer demands and stay relevant in the market for over 100 years. By doing so, they have been able to maintain their market share and sustain their success over the long term.

Furthermore, this example showcases the power of a strong brand. Oreo has established itself as a trusted and iconic brand, known for its delicious cookies. This brand recognition and reputation allow Oreo to introduce new flavor variations and sell them alongside their classic product, with consumers willing to try and purchase them based on their brand loyalty.

In summary, the example of Oreo's success in introducing flavor variations and selling them at the same price point illustrates the concepts of product diversification, pricing strategy, innovation, brand equity, and consumer loyalty in the business world.

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some states require franchisors to provide presale disclosures to prospective franchisees. true false

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The given statement "Some states require franchisors to provide presale disclosures to prospective franchisees" is true because a franchisor is an organization that owns a franchise model, which is a brand and operating system for another party to use in its business.

The franchisor gives the franchisee the right to use the name and brand, as well as marketing and operational guidance. However, before becoming a franchisor, one should understand that there are specific requirements that the franchisor must fulfill. Some of these requirements include providing presale disclosures to prospective franchisees in some states.

Presale disclosures refer to documents containing material information related to the franchisor-franchisee relationship, as well as the franchisor's business model, history, and financial status. Franchisors must offer these documents to prospective franchisees before they agree to buy into the franchise model.

A number of states in the United States require franchisors to give presale disclosures to prospective franchisees, which is true. Some of these states have franchising laws in place to regulate franchise relationships and protect franchisees from fraudulent franchisors.

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what do you see as advantages or disadvantages of creating and sticking to a balanced budget and why?

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Advantages or disadvantages of creating and sticking to a balanced budget the advantages are it assists you in avoiding debt and disadvantage is there may be unforeseen expenditures that are difficult to predict

A balanced budget is an ideal fiscal plan in which income equals expenditure and a budget is said to be balanced when government spending and taxes are the same. A balanced budget is advantageous in that it ensures that spending does not surpass revenue, reducing the need to borrow funds. There are several benefits to creating and sticking to a balanced budget such as it assists you in avoiding debt, which can be both costly and harmful to your credit score. The burden of paying off loans or credit card bills is avoided by adhering to a budget. Planning and budgeting in advance will assist you in staying on track with your financial objectives, whether it's saving for retirement or buying a house.

While creating and sticking to a balanced budget has several advantages, there are also a few disadvantages. When preparing and executing a budget, there may be unforeseen expenditures that are difficult to predict or budget for in advance. There may be less freedom to spend your money as you please because a budget may limit your options. Creating and sticking to a budget necessitates time, effort, and discipline, which may be difficult for some people.

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in year 1, a taxpayer purchased 100 shares of classy corporation for $500. on december 20, year 2, an additional 100 shares were purchased for $400. on december 27, year 2, the taxpayer sold the 100 shares acquired in year 1 for $410. what is the taxpayer's basis in the shares acquired on december 20, year 2?

Answers

The taxpayer's basis in the shares acquired on December 20 of Year 2 is $400.

Basis, or the sum of money invested in an assets by a taxpayer, can be used to calculate the gain or loss realised when the asset is sold.

Different transactions will result in different basis values for the assets acquired. In this instance, the taxpayer spent $500 in Year 1 and $400 in Year 2 to buy 100 shares of Classy Corporation.

The taxpayer had a base of $500 when they sold the shares they had bought in Year 1 for $410. As the taxpayer paid $400 for the shares in Year 2, that amount serves as the basis for those shares.

Complete Question:

In Year 1, a taxpayer purchased 100 shares of Classy Corporation for $500. On December 20 of Year 2, an additional 100 shares were purchased for $400. On December 27 of Year 2, the taxpayer sold the 100 shares acquired in Year 1 for $410. What is the taxpayer's basis in the shares acquired on December 20 of Year 2?

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what is the objective of managing operating exposure? both a and c are correct. selecting low cost production sites. stabilize accounting results in the face of fluctuating exchange rates. increase the variability of cash flows in the face of fluctuating exchange rates.

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The objective of managing operating exposure selecting low cost production sites and increase the variability of cash flows in the face of fluctuating exchange rates. (option a and c).

The primary objective of managing operating exposure is to minimize the negative effects of exchange rate fluctuations on a company's operations and financials. This objective can be achieved through various strategies such as hedging, diversification, and adjusting business operations.

By hedging their foreign currency exposure, companies can stabilize their cash flows, reduce the impact of exchange rate volatility on their financial performance, and ensure predictability of future earnings.

Diversification involves spreading the company's operations and investments across multiple countries and currencies, reducing its exposure to any single market or currency.

Adjusting business operations involves modifying the company's production, sourcing, and pricing strategies to minimize the impact of exchange rate fluctuations.

So, both a and c are correct.

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without innovation, what options would be available to firms? (choose every correct answer.) multiple select question.

Answers

Without innovation, businesses would have the options. Introduce existing goods to new markets Market current products to existing customers.

Promoting new products should be a component of your overall marketing strategy. Promoting value in consumers' thoughts is the aim of promotional tactics. Keep your eyes on the prize when releasing a product: getting it from the shelf and into the shopping carts of consumers.

A business can satisfy market demand for seasonal products by producing new products. Due to products that are appropriate for each season, customers are happy, and business is brisk. Innovation and creativity are effective ways to increase market share or sales.

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you are tearing down a building and find $1 in change that someone lost when working on the building 140 years ago. if, instead of being careless with the $1 in change, this person had deposited it into a bank and earned 2 percent interest every year for 140 years, how much would be in the account today according to the rule of 70?

Answers

The total amount in the account after  $1 in change was deposited in a bank and earned 2 percent interest rate every year for 140 years is equal to $16.

Time period = 140 years

Interest rate = 2 percent every year

Amount deposited = $1

The rule of 70 is a simple rule of thumb used to estimate the time it takes for an investment to double in value.

Based on a given annual growth rate.

It is calculated by dividing 70 by the annual growth rate.

Annual growth rate is 2 percent,

Using the rule of 70,

Estimate the time it takes for the $1 to double in value at 2 percent interest rate,

70 / 2 = 35 years

This implies ,the $1 would have doubled in value every 35 years.

Assuming a constant 2 percent interest rate.

Since the time period is 140 years,

140 / 35 = 4 times

The $1 would have doubled in value 4 times over 140 years.

Resulting in a total of $1 doubled 4 times,

= $1 x (2^4)

= $16.

Therefore, according to the rule of 70 and assuming a constant 2 percent interest rate, the account would have a balance of $16 today .

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on january 1, haus company offered a customer a 10% trade discount if the customer purchases 2,000 units of an item over the next 12 months. each item sells for $200. based on the customer's previous purchase history, haus believes there is a 70% chance that the customer will purchase more than 2,000 units. in january, the customer purchases 500 units on credit. what amount of revenue should the company recognize? a.$70,000 b.$99,000 c.$90,000 d.$100,000

Answers

The revenue that the company should recognize for the 500 units that were sold in January is $100,000. Option D is correct.

The revenue that the company should recognize depends on the terms of the trade discount.

If the discount is a cash discount, then the customer would receive a 10% reduction in the price of the units if they pay within a certain period of time (e.g. 10 days). In this case, the revenue that the company should recognize would be based on the discounted price of the units that were sold, which would be $180 per unit ($200 - $20 discount).

If the discount is a trade discount, then the customer would receive a 10% reduction in the list price of the units, regardless of when they pay. In this case, the revenue that the company should recognize would be based on the list price of the units that were sold, which would be $200 per unit.

Since the question does not specify the type of discount, we will assume that it is a trade discount. Therefore, the revenue that the company should recognize for the 500 units that were sold in January is;

$200 per unit x 500 units = $100,000

Hence, D. is the correct option.

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when a retailer advertises a product and makes it available for purchase through telephone or mail orders, the retailer is using

Answers

When a retailer advertises a product and makes it available for purchase through telephone or mail orders, the retailer is using direct-response marketing. So, correct option is C.

Direct-response marketing is a type of marketing that elicits a specific, immediate response from the customer, usually through a direct call to action.

In this case, the retailer is advertising a product and making it available for purchase through telephone or mail orders, which are both direct response methods.

The retailer is seeking a response from customers to place an order, and the customer can do so directly by calling the retailer or filling out a mail order form.

Direct-response marketing is an effective method for reaching a specific audience and generating sales, as it allows for immediate and measurable results. It is commonly used for products that are not sold in traditional retail stores or for businesses that have a limited budget for advertising and promotion.

Therefore, correct option is C.

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Complete question is:

When a retailer advertises a product and makes it available for purchase through telephone or mail orders, the retailer is using

a.automatic vending.

b.telemarketing.

c.direct-response marketing.

d.television home shopping.

e.direct selling.

in which strategy would companies most likely use data management systems to provide marketers with more data and enhanced ways of estimating price elasticity?

Answers

In a dynamic pricing strategy, companies would most likely use data management systems to provide marketers with more data and enhanced ways of estimating price elasticity.

Companies are most likely to use data management systems to provide marketers with more data and enhanced ways of estimating price elasticity in a pricing strategy known as dynamic pricing.

Dynamic pricing is a pricing strategy where companies set flexible prices for their products or services based on current market demands, competition, and other relevant factors. It allows companies to adjust their prices in real-time based on changes in demand or supply conditions, allowing them to optimize their revenue and profit margins.

Data management systems can play a critical role in dynamic pricing by providing companies with real-time data on customer behavior, sales trends, and other relevant factors. This data can be used to estimate price elasticity more accurately, allowing companies to adjust their prices in real-time to maximize their profits.

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a risk is an uncertain event that, if it occurs, group of answer choices must be accepted. can jeopardize accomplishing the project objective. must be avoided. helps to achieve the project objective.

Answers

A risk is an uncertain event that, if it occurs, can jeopardize accomplishing the project objective.

What is Risk?

It must be avoided or managed effectively to minimize the likelihood of its occurrence or its effect. Risks can be in different types and each risk can have its response or action plan.Risks can be either positive or negative.

Positive risks are opportunities that help to achieve the project objective. Negative risks are threats that must be avoided or managed effectively to minimize the likelihood of their occurrence or effect.

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if the producer of an information product engages in marginal cost pricing, it earns group of answer choices a normal profit. zero economic profits. an economic loss. positive economic profits.

Answers

Marginal costing is the practice of pricing a product at a level that corresponds to the additional costs of producing an additional unit of output. Option B, ordinary profit.  

If the producer of the information product sets the price at marginal cost, he will make a normal profit.

A special method known as marginal costing is used when a product or service's price is slightly higher than the variable cost of production. Basically, the marginal cost is determined when the variable  production costs and the markup added by the company are known.

question:

When a producer of information products uses marginal cost pricing, he gains:

(a) zero financial gain

(b) ordinary profit

c. financial loss

d. positive financial gain

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cape corp. will pay a dividend of $3.90 next year. the company has stated that it will maintain a constant growth rate of 4.75 percent a year forever. a. if you want a return of 16 percent, how much will you pay for the stock? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) b.if you want a return of 9 percent, how much will you pay for the stock?

Answers

a. If you want a return of 16 percent, you should pay $54.62 for the stock.

b. If you want a return of 9 percent, you should pay $79.57 for the stock.

To calculate the stock price using the constant growth model, we use the formula:

Price = D / (r - g)

Where D is the dividend paid next year, r is the required rate of return, and g is the constant growth rate.

For part a, we substitute D = 3.90, r = 0.16, and g = 0.0475 into the formula and solve for Price, which gives us $54.62. This means that if you want a return of 16 percent, you should be willing to pay $54.62 for the stock.

For part b, we substitute D = 3.90, r = 0.09, and g = 0.0475 into the formula and solve for Price, which gives us $79.57. This means that if you want a return of 9 percent, you should be willing to pay $79.57 for the stock.

The constant growth model assumes that the dividend growth rate remains constant forever. In reality, companies may change their dividend policies and growth rates over time. Therefore, it is important to consider the assumptions and limitations of the model when using it to make investment decisions.

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