in forming a portfolio of two risky assets, what must be true of the correlation coefficient between their returns if there are to be gain from diversification? explain?

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Answer 1

The correlation coefficient between two risky assets in a portfolio must be less than 1 for there to be a gain from diversification.

This means that the assets in the portfolio must not move in the same direction and magnitude at the same time. If the correlation coefficient is greater than 1, then the assets would move in the same direction and magnitude at the same time and there would be no gain from diversification.

The reason for this is that the correlation coefficient measures the degree to which the returns of two assets move in the same direction. A correlation coefficient of +1 means that the returns move in perfect lockstep, while a coefficient of -1 means that they move in perfect opposition.

When the correlation coefficient is less than +1, it means that the returns of the two assets are not perfectly positively correlated, and there is some degree of independence between them. This allows investors to achieve diversification benefits by combining the two assets in a portfolio. By holding two assets that are not perfectly positively correlated, investors can reduce the overall risk of the portfolio, as the negative movements of one asset may offset the positive movements of the other asset.

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gretchen, a construction crew supervisor, uses her coercive power effectively to motivate employees. because of her coercive power, gretchen would be able to

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Gretchen, a construction crew supervisor, uses her coercive power effectively to motivate employees.

Because of her coercive power, gretchen would be able to create a strong incentive for her employees to succeed.

What's coercive power

Coercive power is a type of power derived from fear and the threat of punishment, and it can be an effective tool for motivating employees when used appropriately.

For example, Gretchen may set clear expectations for her team and then follow through with consequences when those expectations are not met. Through this, her team will understand the expectations that must be met to avoid punishment.

Additionally, Gretchen can utilize rewards and recognition to reward those who meet and exceed expectations. This will encourage others to strive to be better and work harder to receive the same recognition. Ultimately, Gretchen's use of coercive power will create a strong incentive for her employees to succeed.

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the value of -risk securities will be relatively . a. high; high b. high; low c. low; low d. none of these choices are correct.

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The value of  risk securities will be relatively is High; Low. (B)

The value of risk securities will depend on the perceived riskiness of the securities, which can be higher or lower than the market average. Generally, the higher the perceived risk, the higher the expected return on the security. This means that the value of a -risk security will be relatively high, but its expected return will be relatively low.

In order to evaluate the value of a -risk security, an investor must consider its expected return as well as its associated risk. Investors generally expect a higher return on securities that are riskier, and this is why the value of -risk securities will be relatively high.

However, since there is higher risk associated with these securities, investors also expect a lower return. Thus, the expected return on -risk securities will be relatively low compared to the market average.

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developed a popular method for risk-adjusted performance evaluation of mutual funds. a. eugene fama b. michael jensen c. michael jensen, william sharpe, and jack treynor d. william sharpe e. jack treynor

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The popular method for risk-adjusted performance evaluation of mutual funds is developed by the team of Michael Jensen, William Sharpe, and Jack Treynor. The correct answer is option C.

Risk-adjusted performance evaluation is a technique to measure the performance of an investment portfolio or an individual asset based on its return and risk factors. It is a portfolio evaluation measure, considering both risk and return factors, in a quantifiable way.

Eugene Fama is an American economist who is known for his work in the field of finance, particularly his contributions to the study of asset pricing and the efficient market hypothesis. Fama received the Nobel Memorial Prize in Economic Sciences in 2013, along with Lars Peter Hansen and Robert Shiller, for their empirical analysis of asset prices.

The Sharpe Ratio is a risk-adjusted measure that is used to evaluate the return on an investment relative to its risk. It is calculated by subtracting the risk-free rate from the expected rate of return of an investment, and then dividing that number by the standard deviation of the investment's return.

The Treynor Ratio is another risk-adjusted measure that is used to evaluate the performance of an investment portfolio relative to its systematic risk, as measured by its beta coefficient. It is calculated by dividing the excess return of an investment portfolio by its beta.

Jensen’s Alpha is a risk-adjusted measure that is used to evaluate the performance of an investment portfolio or an individual asset relative to its expected return, as predicted by a capital asset pricing model (CAPM). It is calculated by subtracting the expected return, as predicted by the CAPM, from the actual return, and then dividing that number by the portfolio or asset's standard deviation.

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assume your uncle recorded his salary history during a 40-year career and found that it had increased 10-fold. if inflation averaged 4% annually during that period, then over his career, his purchasing power: group of answer choices remained on par with inflation decreased increased about 2% annually increased about 3% annually increased about 1% annually

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The purchasing power of the salary increased at a rate of approximately 1% annually, compared to inflation.



The purchasing power of an individual's salary over a 40-year period increases or decreases in line with the rate of inflation. In this case, the salary increased 10-fold while the rate of inflation was 4% annually.

In other words, while the salary increased 10-fold over the 40-year period, the purchasing power of the salary would have increased at a slower rate, approximately 1% annually. This is because the rate of inflation increased 4% annually during the same period, which means the buying power of the salary increased at a slower rate.

For example, if a person had a salary of $10,000 at the beginning of the 40-year period, the salary would have increased 10-fold to $100,000 by the end of the period. However, because of the 4% annual rate of inflation, the purchasing power of the salary would not have increased by 10-fold. Rather, it would have only increased by approximately 1%, resulting in a purchasing power of around $107,000 at the end of the period.

In summary, assuming an individual's salary increased 10-fold over a 40-year period and inflation averaged 4% annually during the same period, the purchasing power of the salary would have increased at a rate of approximately 1% annually, compared to the rate of inflation.

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which of the following new businesses is an example of a business with a high operating leverage? question 1 options: personal training business dogwalking service luxury hotel consulting firm

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A C: luxury hotel is an example of a business with a high operating leverage.

Operating leverage refers to the extent to which a company relies on fixed costs in its operations. In the case of a luxury hotel, there are high fixed costs associated with maintaining and operating the hotel, such as staff salaries, utilities, property maintenance, and other expenses. This means that the hotel has a high degree of fixed costs relative to variable costs, which can lead to high profits in periods of high occupancy but also high losses in periods of low occupancy.

Therefore, a luxury hotel is an example of a business with high operating leverage.

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which is the clearest example of hegemonic power? group of answer choices a person pays their taxes on time a person believes that u.s. currency is reliable a person uses bitcoin (digital currency) instead of u.s. currency a person uses a wood stove in order to reduce their electric bill

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The clearest example of hegemonic power is when a person believes that U.S. currency is reliable.

Hegemonic power is the ability of a state, group of states, or a social class to establish its influence and control over other states, social groups, or classes. Hegemonic power is wielded by those who possess social, political, economic, and military power over other states or social groups. It is demonstrated in the ability of one nation or group to shape the actions, policies, and beliefs of other nations or groups.

The clearest example of hegemonic power in the group of answer choices is a person believing that U.S. currency is reliable. The United States has been a hegemonic power since the end of World War II, and it has used its economic and military power to shape the global economy and foreign policy.

As a result, the U.S. dollar is the most widely used currency in the world, and many countries rely on it as a reserve currency. This has helped to reinforce the perception that U.S. currency is reliable, which in turn reinforces the U.S.'s hegemonic power. Therefore, a person's belief that U.S. currency is reliable is an example of hegemonic power.

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the chief benefit of a marketing plan is: a. to anticipate marketing methods that do not yet exist. b. to reduce the number of costly errors you make in your marketing. c. to raise money for the business. d. to identify all potential customers precisely.

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The chief benefit of a marketing plan is to reduce the number of costly errors you make in your marketing. A marketing plan helps businesses identify potential customers, anticipate marketing methods, and raise money for the business.

The chief benefit of a marketing plan is to reduce the number of costly errors you make in your marketing. The correct answer is B.

What is a marketing plan?

A marketing plan is a strategic document that outlines a company's marketing approach. A marketing plan is a comprehensive document that specifies a company's overall marketing goals, the strategies and tactics to achieve these objectives, and the implementation, assessment, and control methods required to monitor success.

A marketing plan's benefits include the following:

1. Focusing the marketing and business objectives

The marketing plan outlines the company's marketing and business objectives, which are aligned with the company's overall objectives. By setting marketing goals, the company can concentrate on what it needs to do to meet those goals, and ensure that everyone understands the aims and objectives.

2. Establishes the foundation for a marketing budget

The marketing plan lays out the business objectives, the strategies and tactics to accomplish those objectives, and the budget required to implement them. It makes it easier to develop a marketing budget by establishing a roadmap for marketing expenses.

3. Enables the evaluation of progress and performanceIt is possible to track how well the company is meeting its goals and objectives by monitoring progress and performance. The marketing plan specifies the metrics to be used to track progress, and the monitoring period required to evaluate progress

4. Reducing the possibility of costly errors

A well-structured marketing plan helps minimize the risk of costly errors. The plan aids in the identification of potential challenges and opportunities, and the development of contingency plans to mitigate risks.

The chief benefit of a marketing plan is to reduce the number of costly errors you make in your marketing. By identifying potential challenges and opportunities, and developing contingency plans to mitigate risks, the marketing plan helps minimize the risk of costly errors. The correct answer is B.

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who is responsible for collecting, maintaining, and distributing company knowledge? (please use the acronym)

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In the business world, CKO (Chief Knowledge Officer) is in charge of collecting, maintaining, and distributing company knowledge.

He or she works as a strategic partner for senior leadership and is responsible for integrating knowledge management strategies into the company's business processes to ensure that knowledge is readily available and effectively utilized by all stakeholders.CKO is responsible for creating and executing knowledge management policies, procedures, and systems in a company. He or she must ensure that knowledge is kept up to date and that it is easily accessible. CKO is also in charge of implementing an effective communication strategy that fosters the exchange of knowledge throughout the company. He or she should collaborate with various departments to determine the best ways to identify, organize, and share company knowledge.

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a. anf reported cost of goods sold of $2,097,017 (thousand) for fiscal year 2. what was the cost that anf incurred to acquire inventory for fiscal year 2? $

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The cost that ANF incurred to acquire inventory for its fiscal year 2013 was $4,444,012 (in thousands).

Based on the provided information, ANF reported Cost of Goods Sold of $4,341,782 (thousand) for its fiscal year 2013. The company's cost that it incurred to acquire inventory for its fiscal year 2013 can be calculated using the following formula:

Cost of Goods Sold = Beginning Inventory + Purchases - Ending Inventory

Rearranging the formula, we can write:

Purchases = Cost of Goods Sold - Beginning Inventory + Ending Inventory

Substituting the given values into the above formula, we get:

Purchases = $4,341,782 - $504,562 + $607,792

Purchases = $4,444,012 (in thousands)

Therefore, ANF incurred a cost of $4,444,012 (in thousands) to acquire inventory for its fiscal year 2013.

Note: The question is incomplete. The complete question probably is: Abercrombie & Fitch Co. (ANF) is a specialty retailer of casual apparel. The following information is taken from ANF's fiscal 10 -K report for the fiscal year 2013, which ended February 1, 2014. (All amounts in $ thousands.)

Selected Balance Sheet Data    February 1, 2014     February 2, 2013

Inventory                                   $607,792                  $504,562

Accrued compensation              $95,578                    $120,447

ANF reported Cost of Goods Sold of $4,341,782 (thousand) for its fiscal year 2013. What was the cost that ANF incurred to acquire inventory for its fiscal year 2013 ?

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money that covers the basic living expenses of sales professionals is better known as an advance. question 6 options: true false

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The given statement, "money that covers the basic living expenses of sales professionals is better known as an advance" is false because money that covers the basic living expenses of sales professionals is better known as a draw, not an advance.

What is a draw?

A draw is a financial arrangement that is similar to a loan. Sales professionals are usually compensated via commission, which means that their pay is determined by the amount of sales they generate for the company. However, sales may be difficult, and salespeople may not earn enough commission to cover their living expenses.

In this situation, the company may offer the salesperson a draw. A draw is a sum of money that is provided to the salesperson upfront, and it is usually based on the anticipated commissions. The salesperson can then use the draw to cover their basic living expenses until they begin generating enough commission to pay back the draw.

Once the salesperson has generated enough commission, they will begin to receive their normal pay. However, the draw will be deducted from the salesperson's commission until the draw has been paid back in full.

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jack is going to offer to sell his house to bill. jack prepares a written offer but mistakenly transposes the numbers. he accidentally offers to sell his real property for $189,000 instead of $198,000, which he really intended. he sends the written offer to bill who send a written acceptance. bill's acceptance is: group of answer choices

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The statement "The acceptance is that Bill can purchase Jack's property for the stated price of $189,000" is true.

The scenario presented in the statement involves a situation where Jack mistakenly offered to sell his house to Bill for $189,000 instead of $198,000. Despite the error, Bill accepted the offer from Jack.

In contract law, for an agreement to be legally binding, there must be an offer made by one party and an acceptance of that offer by the other party. In this case, Jack made an offer to sell his property to Bill, even though the price was incorrect due to a mistake.

However, Bill accepted the offer, and this acceptance creates a legally binding contract between the two parties.

Now that Bill has accepted the offer, Jack is obligated to sell his house to Bill for the price he mistakenly offered it for, which is $189,000.

The acceptance of the offer at the stated price makes it a legally binding contract, and both parties must fulfill their obligations as outlined in the agreement.

In summary, the acceptance of the offer at the stated price of $189,000 means that Bill can purchase Jack's property for that price. Despite the mistake in the offer, Bill's acceptance of the offer creates a legally binding contract between the two parties.

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When using the high-low method, if the high or low levels of cost do not match the high or low levels of activity:
a. choose the period with the highest and lowerst level of cost and their associated activities.
b. skip that period and move to the next highest or lowest level where cost and activity match.
c. choose the period with the highest and lowest level of activity and their associated costs.

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When using the high-low method, if the high or low levels of cost do not match the high or low levels of activity, the correct option is to choose the period with the highest and lowest level of activity and their associated costs. (C)



The high-low method is a cost estimation technique that involves separating a mixed cost into its fixed and variable components by comparing the highest and lowest points on the cost-volume graph. The method is based on the idea that the difference between the highest and lowest points on the graph is entirely due to the variable cost element of the mixed cost, and the fixed cost element remains the same regardless of the level of activity.

However, there may be cases when the high or low levels of cost do not match the high or low levels of activity, which could occur due to various reasons such as outliers, measurement errors, or abnormal situations. In such cases, the correct option is to choose the period with the highest and lowest level of activity and their associated costs.

This is because the high-low method assumes that the cost behavior pattern observed at the highest and lowest levels of activity is representative of the entire range of activity. Therefore, by choosing the period with the highest and lowest level of activity and their associated costs, we ensure that we are using the most relevant and representative data to estimate the fixed and variable cost components.(C)

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juan's total sales for april were $72,000, and out of this sale, $22,000 was returned. calculate juan's commission earnings if her company paid a straight commission of 3% on net sales.

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Juan's commission earnings for April would be $1,500.

A commission is a payment made to an employee when they successfully complete a task, typically selling a specified volume of goods or services. Sales commissions are a common incentive used by employers to boost employee productivity. A commission can be paid instead of or in addition to a salary.

To calculate Juan's commission earnings, we need to first calculate her net sales, which is her total sales minus any returns.

Net Sales = Total Sales - Returns

Net Sales = $72,000 - $22,000

Net Sales = $50,000

Now that we have Juan's net sales, we can calculate her commission earnings using the straight commission rate of 3%:

Commission Earnings = Net Sales x Commission Rate

Commission Earnings = $50,000 x 0.03

Commission Earnings = $1,500

Juan would therefore have received $1,500 in commission for the month of April.

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the returns from an investment are 2% in year 1, 4% in year 2, and 12.8% in the first half of year 3. calculate the annualized return for the entire perio

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The Annualized return is 7.2%.

Annualized return is the average rate of return over a period of one year, expressed as a percentage. It is a way to measure the performance of an investment over a longer period of time, and it takes into account the affect of compounding.

The annualized return for the entire period of this investment is 7.2%. To calculate the annualized return, you need to calculate the compound annual growth rate (CAGR) of the investment. CAGR is calculated as follows:

CAGR = (Final Value / Initial Value)^(1/Time Periods) - 1

For this example, the initial value is 1, the final value is 1.2096, and the time period is 3 years.

CAGR = (1.2096/1)^(1/3) - 1 = 0.072 or 7.2%

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multiple choice question delta diamonds had 5 one-carat diamonds available for sale this year: 1 purchased june 1 for $500, 2 purchased july 9 for $550 each, and 2 purchased september 23 for $600 each. on december 24, it sold 1 of the diamonds that was purchased on july 9. using periodic specific identification, its cost of goods sold is . multiple choice question. $550 $600 $1,100 $500 $1,200

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The cost of goods sold would be the cost of that particular diamond, which is $550.

Delta Diamonds had 5 one-carat diamonds available for sale this year: 1 purchased June 1 for $500, 2 purchased July 9 for $550 each, and 2 purchased September 23 for $600 each. On December 24, it sold 1 of the diamonds that was purchased on July 9. Using periodic specific identification, its cost of goods sold is $550.

Using periodic specific identification, its cost of goods sold is $550. When a specific identification method is used, each time an item is sold, the cost of the particular unit sold is recognized as a cost of goods sold. As a result, inventory and the expense of goods sold are directly related to the precise cost of items sold.

The following is the list of Delta Diamonds' purchases:1 diamond on June 1 for $500; 2 diamonds on July 9 for $550 each; and 2 diamonds on September 23 for $600 each. Delta Diamonds sold a diamond that was bought on July 9th, and we have periodic specific identification.

Therefore, the cost of goods sold would be the cost of that particular diamond, which is $550.

What is Cost of Goods Sold?

The cost of goods sold (COGS) is a financial term that refers to the direct expenses involved with the production of the goods sold by a firm.

Direct costs are the expenses that may be linked to the production of goods or services, such as labor or raw materials used to make a product. COGS equals the cost of the products sold plus any additional costs, such as transportation or storage fees, needed to put the products in a salable condition.

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on september 1, 2024, greenwood gaming sold 400 one-year subscriptions to its online gaming website for $90 each. the total amount received was credited to deferred revenue. what would be the required adjusting entry at december 31, 2024?

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Assuming that the subscription revenue is recognized on a monthly basis, the adjusting entry required on December 31, 2024 would be as follows:

Debit: Deferred Revenue = $12,000

Credit: Subscription Revenue = $12,000

Assuming that the subscriptions are evenly distributed over the year and that the company uses the accrual basis of accounting.

Calculate the amount of revenue that has been earned as of December 31, 2024. Since each subscription lasts for one year, 4 months (or 33.33%) have elapsed since September 1, 2024.

Revenue earned = 400 subscriptions x $90 per subscription x 33.33% = $12,000

Debit the deferred revenue account for the amount of revenue earned in step 1.

Deferred revenue $12,000

Revenue $12,000

This entry recognizes that $12,000 of the revenue that was previously deferred has now been earned, and should be recognized as revenue in the current period. The remaining $24,000 (or 66.67%) of the deferred revenue will be recognized in future periods as the subscriptions continue to be fulfilled.

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in which managerial task are work relationships structured to facilitate the interaction and cooperative efforts of organizational members, all of whom strive to achieve organizational goals? group of answer choices planning leading reviewing controlling organizing

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While planning, leading, reviewing, and controlling are also important managerial tasks, organizing specifically focuses on structuring the work relationships and creating the framework for the organization to function effectively.

What is Origination?

In finance, origination refers to the process of creating a new loan or other financial product. It involves gathering information about the borrower, evaluating their creditworthiness and ability to repay, and establishing the terms and conditions of the loan or financial product.

Origination can also refer to the process of issuing a new security, such as a bond or stock, in the capital markets. In this case, the process involves underwriting, which is the process of evaluating the risks and setting the price of the security to be issued.

Organizing involves designing the structure of the organization and creating systems and processes to facilitate the coordination and collaboration of employees towards the achievement of the organization's goals. This includes defining roles and responsibilities, establishing reporting relationships, allocating resources, and creating communication channels.

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in the financial plan section of a business plan, pro forma statements should be presented for a. three to five years. b. six months. c. one year. d. seven years.

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In the financial plan section of a business plan, pro forma statements should be presented for A. three to five years.

What is Pro forma financial statements?

Pro forma financial statements are projected financial statements that estimate a company's financial performance based on historical data and assumptions about future trends. These statements include projections of the company's income statement, balance sheet, and cash flow statement.

To provide a realistic and comprehensive financial plan, pro forma statements should be presented for a period of at least three to five years. This time frame allows investors, lenders, and other stakeholders to assess the long-term viability and sustainability of the business.

Therefore, option A, three to five years, is the correct option.

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in competitive markets, supply and demand cause consumers to divide up products in a way that ensures that each product goes to the person:

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In competitive markets, supply and demand cause consumers to divide up products in a way that ensures that each product goes to the person who values it the most.

What is a competitive market?

A competitive market is a market in which there is a large number of producers and consumers. As a result, no one producer or consumer is large enough to influence the price of a good or service. Perfect competition, monopolistic competition, oligopoly, and monopoly are the four main types of market structures.

How does the market determine prices and quantities of goods and services?

The market determines prices and quantities of goods and services through the interaction of supply and demand. The equilibrium price is the price at which the quantity supplied equals the quantity demanded. When the price of a good or service rises, the quantity supplied increases, and the quantity demanded decreases.

When the price of a good or service falls, the quantity supplied decreases, and the quantity demanded increases. As a result, in a competitive market, suppliers must lower prices to sell more goods or services since other suppliers can quickly enter the market and provide alternatives.

Consumers will then benefit from lower prices, as each supplier competes with one another to offer the best value for their money. Therefore, in competitive markets, supply and demand cause consumers to divide up products in a way that ensures that each product goes to the person who values it the most.

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a convenience store has made up 20 grab bag gifts and is offering them for $2.00 a bag. ten bags contain merchandise worth $1.00. six bags contain merchandise worth $2.00, and four bags contain merchandise worth $3.00. suppose you purchase one bag. what is your expected gain or loss?

Answers

($1 - $2) x 10/20 = -$0.50 , ($2 - $2) x 6/20 = $0 , ($3 - $2) x 4/20 = $0.20.

Total is , -$0.50 + $0 + $0.20 = -$0.30, Expected Loss = -$0.30 .

How do you calculate the expected gain or loss?

The initial purchase cost is added to the selling price, which is then subtracted. Either a gain or a loss is the end result. To calculate the outcome, divide the investment's gain or loss by the investment's initial cost. To get the % change in the investment, multiply the number by 100.

What is a gain, a loss?

The profit or gain is equal to the selling price less the cost price. Cost price less selling price equals loss.

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which of the following is an object that is admired strictly for its beauty or because it inspires an emotional reaction? question 84 options: a trial product a reality-engineered product a craft product an art product

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An art product is an object that is admired for its beauty or because it inspires an emotional reaction. It is different from a trial product, a reality-engineered product, or a craft product, which are typically valued for their functionality or utility.

An art product is an item that is specifically designed to evoke an emotional reaction from viewers or to be admired for its beauty. It is different from a trial product, which is a product that is tested for its performance, a reality-engineered product, which is a product that is designed to meet a specific need, or a craft product, which is an item that is crafted by hand. Art products are valued more for their aesthetic value and emotional impact than their practical use.

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in a service organization, the ______________ is the point where the customer interfaces with the service organization.

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In a service organization, the point where the customer interfaces with the service organization is called the "service encounter."

A service organization refers to a company that produces services rather than physical products. This type of organization serves people, rather than items, and it relies on the customer experience to be successful. A service organization's success is determined by customer satisfaction and quality of service. The importance of service encounters.

A service encounter is a crucial component of a service organization. It is the point of contact between the customer and the organization. A service encounter is a time when the customer interacts with the service provider, and it can make or break the entire customer experience. It is essential to note that a service encounter goes beyond customer service. It also includes the atmosphere, environment, communication, and quality of service provided by the organization. It is vital to train service providers on how to deal with customers to ensure that they provide high-quality service encounters. It will increase customer satisfaction, retention, and loyalty, which will ultimately increase the organization's revenue.

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1. how much will a $75 deposit made today be worth in 15 years if the interest is compounded annually at a rate of 5%?

Answers

The final answer are deposit of $75 made today will be worth $183.08 after 15 years at an annual compounding rate of 5%

To calculate the value of a $75 deposit made today after 15 years at an annual compounding rate of 5%,

use the formula:

A = P(1 + r/n)^(nt)

where: A is the final amount

P is the initial deposit or principal

r is the annual interest rate

n is the number of times the interest is compounded per year

t is the number of years

For this problem,

P = $75r = 5%

n = 1

t = 15 years

Plugging in the values gives us:

A = 75(1 + 0.05/1)^(1*15)A = 75(1.05)^15

A = $183.08

Therefore, the deposit of $75 made today will be worth $183.08 after 15 years at an annual compounding rate of 5%.

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candi is moving out of town. her friend wants to take over her lease on her apartment. candi does not want to have any future liability for the lease. the landlord agrees to release candi and create a new lease with her friend. this is called a(n):

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What occurs between Candi and her friend, with respect to a lease, is known as a lease transfer.

A lease transfer is when one person's lease on a rental property is transferred to another person. In this case, the original leaseholder (Candi) is transferring their lease to their friend. To do this, both the landlord and Candi must agree to the transfer. The landlord may need to approve the new tenant and create a new lease agreement.

Once the lease has been transferred, Candi is no longer liable for the rent and other terms of the lease. This can provide peace of mind for Candi, as she will no longer be responsible for any damages to the rental property or any unpaid rent.

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what is the difference between existing mis workplace knowledge and the knowledge required to fulfill the business goals and strategies?

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Existing MIS (Management Information System) workplace knowledge is the body of information that employees currently have access to in order to use and manage the information systems that support business operations.

On the other hand, a better comprehension of the organization's overall objectives and how the information systems support those objectives is part of the knowledge needed to realize business goals and strategies.

Organizations must offer ongoing training and development chances in order to close the knowledge gap between what is currently known about MIS in the workplace and what is needed to achieve business objectives and strategies.

This may entail making investments in leadership development programs that assist staff members in acquiring a strategic mentality as well as advanced technical training and certifications.

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what is the tax consequence of the amounts received from a traditional ira after the money was left in the tax-deferred account by the beneficiary?

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After the beneficiary has left the funds in the tax-deferred account, the amounts received from a traditional IRA will be taxed at the distribution rate with no additional fees.

If so, how much monetary value does life insurance have?

While universal life policies' cash value increases at a rate more reliant on the market than whole life policies', both have a fixed interest rate for cash value growth (but with a guaranteed minimum rate).

How is the life insurance cash value affected?

The life insurance company usually gets the cash value after you pass away. Your loans and withdrawals from the cash value of the policy are deducted from the death benefit paid to your beneficiaries.

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the work in process inventory account of a manufacturing company has a $10,745 debit balance. the company applies overhead using direct labor cost. the cost sheet of the only job still in process shows direct material cost of $3,500 and direct labor cost of $2,300. therefore, the company's predetermined overhead rate is:

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The estimated overhead cost is 215% we can calculate it very easily.

What exactly is over head rate and how is it calculated?

The overhead rate is a cost that is incurred during the manufacturing of a product or service. Overhead costs are expenses that are not directly related to production, such as corporate office costs. An overhead rate is applied to the direct costs associated with production to allocate overhead costs by spreading or allocating overhead costs based on specific measures.

given data

debit balance = $10,745

$3500 in material costs

$2300 in labour costs

We calculate overhead rate using the following formula: overhead rate = total overhead cost / labour cost.........................1

Total overhead cost equals debit balance minus material cost minus labour cost.

Total overhead: $10,745-$3500-$2300

Total overhead cost = $4945; therefore,

so from equation 1

overhead rate = total overhead cost / labor cost

overhead rate = $4945 / $2300

overhead rate = 2.15

so overhead rate = 215 %

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companies are required to disclose a schedule of cost of goods manufactured as part of their financial statements. true or false ?

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Companies are required to disclose a schedule of cost of goods manufactured as part of their financial statements. is "True" becuase This schedule is used to calculate the Cost of Goods Sold, which is a key component in the calculation of Gross Profit.

The Cost of Goods Manufactured, also known as Cost of Goods Produced, is the total cost of all the materials, direct labor, and overhead used in the production of goods during an accounting period.

It includes the costs of direct materials, direct labor, and manufacturing overhead. It does not include administrative, marketing, and selling expenses.

The Cost of Goods Manufactured statement is used to measure the production costs for a given period of time.

This statement is used in conjunction with the company’s income statement to calculate the Cost of Goods Sold, which is the cost of goods that were sold during the accounting period.


The Cost of Goods Manufactured statement is required to be included in a company’s financial statements according to the Generally Accepted Accounting Principles (GAAP). By providing this information to investors, creditors, and other users of the financial statements, companies are able to provide a more accurate representation of the cost of producing goods.

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a. using the regular percentage change method, the price of umbrellas increases from $60 per umbrella to $80 per umbrella?

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Using the regular percentage change method, the price of umbrellas increases from $40 per umbrella to $60 per umbrella, the elasticity of supply is 2.

The degree to which the amount provided is responsive to a change in the price of a certain item is measured by the price elasticity of supply. It is a crucial factor in figuring out how changes in a product's market price impact the supply of that product. It also provides a rough estimate of the potential profit from selling that product at the difference in price. This article will cover a variety of topics, including the supply elasticity formula, several forms of supply elasticity, properties of the supply curve, and more.

The supply of an item or service will adjust its output in reaction to a change in the price of that good or service. Basic economic theory states that when a good's price rises, so does its supply.

The price elasticity of demand can also be researched in a similar manner. This demonstrates how quickly changes in price may alter a product's demand. If the cost of a product increases, the price will adjust rather quickly. Price elasticity of demand refers to this.

The formula for elasticity is given by,

Elasticity = % change in supply/% change in price

1. Price increases from 40 to 60.

Supply increases from 500 to 1000.

% change in price = 50%

% change in supply = 100%

Elasticity of supply = 2

Therefore, the elasticity of supply is 2.

2. Price decreases from 100 to 80.

Supply decreases from 2000 to 1500.

% change in price = 20%

% change in supply = 25%

Elasticity of supply = 1.25

Therefore, the elasticity of supply is 1.25

3.% change in price = 40%

% change in supply = 52%

Elasticity of supply = 1.3

Therefore, the elasticity of supply is 1.3.

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Complete question:

Supply or Umorenas Price Quantity of Umbrellas (dollars) Supplied $120 2,500 100 2,000 88 1,500 60 1,000 4e 500 20 0 Instructions: Round your answers to two decimal places.

a. Using the regular percentage change method, the price of umbrellas increases from $40 per umbrella to $60 per umbrella? Price increases by 50% Quantity supplied increases by 100% Therefore, the elasticity of supply is

b. Using the regular percentage change method, the price of umbrellas falls from $100 per umbrella to $80 per umbrello Price decreases by 30% Quantity supplied decreases by 3% Therefore, the elasticity of supply is

c. If the elasticity of supply for umbrellas is 13, then an increase in the price of umbrellas of 40% will teremte the quantity supplied by 23% 13

corporate-level strategy is concerned with which of the following key issues? a. what product markets the firm can compete in as a standalone business b. what businesses the firm should plan to acquire to increase its competitive advantage c. what product markets and businesses the firm should compete in and how corporate headquarters should manage those businesses d. what product markets and businesses the firm should compete in and how the firm should manage itself

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Corporate-level strategy is concerned with what product markets and businesses the firm should compete in and how corporate headquarters should manage those businesses. The answer is option C.

What is a corporate-level strategy?

The corporate-level strategy is concerned with the overall operations of an entire organization. This strategy helps businesses in determining their position in a competitive market. Corporate-level strategy includes decisions like mergers, acquisitions, and diversification.

Here are some of the key issues that come under the corporate-level strategy:

What product markets and businesses the firm should compete in.

How corporate headquarters should manage those businesses.

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