you have observed the following returns over time year stock x stock y market 2012 13 12 11 2013 20 8 10 2014 16 5 12 2015 5 1 2 2016 24 9 17 assume that the risk free rate is 5 and the market risk premium is 6 do not round intermediate calculations what is the beta of stock x round your answer to two decimal places 1.40 what is the beta of stock y round your answer to two decimal places 0.57 what is the required rate of return on stock x round your answer to one decimal place 13.3 what is the required rate of return on stock y round your answer to one decimal place 8.42 what is the required rate of return on a portfolio consisting of 80 of stock x and 20 of stock y round your answer to one decimal place

Answers

Answer 1

Beta of stock X is 0.749, beta of stock Y is -0.299, required rate of return on stock X is 9.5%, required rate of return on stock Y is 3.2%, and required rate of return on the portfolio consisting of 80% of stock X and 20% of stock Y is 8.7%.

First, we need to calculate the returns for each stock and the market using the data provided:

For stock X in 2012: (13 - 11) / 11 = 0.182

For stock X in 2013: (20 - 11) / 11 = 0.818

For stock X in 2014: (16 - 12) / 12 = 0.333

For stock X in 2015: (5 - 2) / 2 = 1.5

For stock X in 2016: (24 - 17) / 17 = 0.412

For stock Y in 2012: (12 - 11) / 11 = 0.091

For stock Y in 2013: (8 - 10) / 10 = -0.2

For stock Y in 2014: (5 - 12) / 12 = -0.417

For stock Y in 2015: (1 - 2) / 2 = -0.5

For stock Y in 2016: (9 - 17) / 17 = -0.471

For the market in 2012: (11 - 11) / 11 = 0

For the market in 2013: (10 - 11) / 11 = -0.091

For the market in 2014: (12 - 11) / 11 = 0.091

For the market in 2015: (2 - 2) / 2 = 0

For the market in 2016: (17 - 17) / 17 = 0

Next, we need to calculate the beta for each stock using the market returns and risk-free rate

For stock X: βx = (0.182 + 0.818 + 0.333 + 1.5 + 0.412) / 5 = 0.749

For stock Y: βy = (0.091 - 0.2 - 0.417 - 0.5 - 0.471) / 5 = -0.299

Then, we can calculate the required rate of return for each stock using the CAPM formula:

For stock X: Rx = 5 + (6 * 0.749) = 9.494, or 9.5% when rounded to one decimal place

For stock Y: Ry = 5 + (6 * -0.299) = 3.214, or 3.2% when rounded to one decimal place

Finally, we can calculate the required rate of return for the portfolio consisting of 80% stock X and 20% stock Y:

For the portfolio: Rp = (0.8 * 9.5) + (0.2 * 3.2) = 8.72, or 8.7% when rounded to one decimal place.

To know more about stock:

https://brainly.com/question/29992015

#SPJ4


Related Questions

fredericksen corporation makes one product and has provided the following information: budgeted sales, february 8,700 units raw materials requirement per unit of output 6 pounds raw materials cost $ 2.00 per pound direct labor requirement per unit of output 2.9 direct labor-hours direct labor wage rate $ 21.00 per direct labor-hour predetermined overhead rate (all variable) $ 10.00 per direct labor-hour variable selling and administrative expense $ 1.10 per unit sold fixed selling and administrative expense $ 80,000 per month the estimated cost of goods sold for february is closest to: multiple choice $886,530 $634,230 $252,300 $721,230

Answers

The estimated cost of goods sold for February is closest to $957,440, which is not one of the options provided in the multiple choice question.

To calculate the estimated cost of goods sold for February, we need to consider all the costs associated with producing and selling the product. Let's break down the given information:
1. Budgeted sales: 8,700 units
2. Raw materials requirement per unit of output: 6 pounds
3. Raw materials cost: $2.00 per pound
4. Direct labor requirement per unit of output: 2.9 direct labor-hours
5. Direct labor wage rate: $21.00 per direct labor-hour
6. Predetermined overhead rate (all variable): $10.00 per direct labor-hour
7. Variable selling and administrative expense: $1.10 per unit sold
8. Fixed selling and administrative expense: $80,000 per month
To calculate the cost of goods sold, we need to add up the following costs

1. Direct materials cost = 8,700 units x 6 pounds x $2.00 per pound = $104,400
2. Direct labor cost = 8,700 units x 2.9 direct labor-hours x $21.00 per direct labor-hour = $511,170
3. Variable overhead cost = 8,700 units x 2.9 direct labor-hours x $10.00 per direct labor-hour = $252,300
4. Variable selling and administrative expense = 8,700 units x $1.10 per unit sold = $9,570
5. Total variable cost = $877,440
To calculate the total cost of goods sold, we need to add the fixed selling and administrative expense to the variable cost:
Total cost of goods sold = $877,440 + $80,000 = $957,440
Therefore, the estimated cost of goods sold for February is closest to $957,440, which is not one of the options provided in the multiple choice question.

For more such questions on estimated cost

https://brainly.com/question/29509552

#SPJ11

the way in which elements of a job are organized is known as ________________.

Answers

The way in which elements of a job are organized is known as job design.

Job design is the process of defining the tasks, responsibilities, and expectations associated with a particular job. It involves determining the specific duties and responsibilities of a job, as well as the qualifications and skills required to perform it effectively.

Job design aims to create jobs that are meaningful, motivating, and satisfying for employees, while also ensuring that the work is performed efficiently and effectively. Effective job design can lead to increased productivity, job satisfaction, and employee retention. It can also help to reduce job-related stress and improve the overall quality of work.

Job design can involve a variety of different factors, including the specific tasks and responsibilities of the job, the qualifications and skills required to perform it effectively, the level of autonomy and decision-making authority given to the employee, the work environment, and the level of feedback and recognition provided to the employee.

Effective job design can have a significant impact on employee productivity, job satisfaction, and overall well-being. By creating jobs that are well-structured and well-suited to the skills and abilities of employees, job design can help to increase motivation, reduce stress and burnout, and promote a positive work culture.

To know more about Job design, please click on:

https://brainly.com/question/29034151

#SPJ11

true or false? any email marketing vendor of value will not allow you to send to a purchased list.

Answers

True, any email marketing vendor of value will not allow you to send to a purchased list. This is because reputable email marketing vendors prioritize maintaining high deliverability rates and adhering to anti-spam laws, which prohibit sending unsolicited emails to recipients who have not explicitly consented to receive them.

Any reputable email marketing vendor will not allow you to send to a purchased list. This is because sending emails to purchased lists is considered spamming and violates the vendor's terms of service, as well as various anti-spam laws.

Marketing to a purchased list often results in low open rates, high bounce rates, and low engagement. This is because the people on the list did not opt-in to receive your emails and are likely not interested in your product or service. Purchased lists typically do not meet these criteria, leading to potential legal and ethical issues for both the sender and the vendor.Instead of buying email lists, it is recommended that you build your own opt-in list through various tactics such as website sign-ups, social media campaigns, and events. This ensures that the people on your list are interested in your offering and are more likely to engage with your emails. In summary, any email marketing vendor of value will not allow you to send to a purchased list. It is important to build your own opt-in list to ensure engagement and avoid spamming.

know more about the email marketing

https://brainly.com/question/29649486

#SPJ11

the forecasting method in which individual forecasts of group members are submitted anonymously and evaluated by the group as a whole is called:

Answers

The forecasting method you are referring to is called the Delphi method. The Delphi method is a technique used to obtain a group consensus forecast through a series of anonymous individual responses.

It involves multiple rounds of surveys or questionnaires where group members provide their forecasts without knowing the responses of others. The responses are then compiled and shared with the group for review, and the process is repeated until a consensus forecast is reached. The Delphi method is commonly used in business and government settings to forecast future trends and outcomes.

The Delphi Technique is a structured communication method that relies on a panel of experts to answer questions and provide forecasts. These experts share their opinions anonymously and then evaluate the collective responses.

To Know more about forecasting method

https://brainly.com/question/30887302

#SPJ11

using bpmn, business processes are typically organized into what is called ________.

Answers

Business processes are typically organized into what is called process diagrams.

Using Business Process Model and Notation (BPMN), business processes are typically organized into what is called process diagrams. BPMN is a graphical representation of a business process, which includes activities, events, gateways, and flows that describe how work is done in an organization. The process diagram is a visual representation of the entire process and shows how tasks and activities flow from one to another, and how decisions are made along the way. It is an essential tool for process improvement and enables organizations to understand, analyze, and optimize their business processes for better performance, efficiency, and quality.

To know more about process diagrams, click here:

https://brainly.com/question/22179677

#SPJ11  

an austerity policy is group of answer choices an expansionary fiscal policy accompanied by decreases in taxes, increases in expenditures, or both. an increase in the money supply. an expenditure reduction and expenditure switching policy. an exchange rate switching policy from a fixed to a flexible exchange rate system.

Answers

An austerity policy is an expenditure reduction and expenditure switching policy that is aimed at reducing government spending and balancing the budget.

This policy is often implemented during economic downturns or periods of high government debt. It may involve cuts to social services, infrastructure projects, and public sector jobs, policies may also include an exchange rate switching policy from a fixed to a flexible exchange rate system in order to improve competitiveness and stimulate exports. It is important to note that an austerity policy is the opposite of an expansionary fiscal policy, which involves increases in government spending and decreases in taxes to stimulate economic growth.

Learn more about government here,

https://brainly.com/question/26119802

##SPJ11

a data analyst is working on a project for the marketing department. who are most likely considered the secondary stakeholders? select all that apply.

Answers

The vice president of marketing is a stakeholder in the data analytics project that the marketing department's team is working on.

This implies that the vice president of marketing has a vested interest in the project and is accountable for ensuring that it fits the marketing department's demands and objectives. In order for the project to be completed effectively, the stakeholder must also provide direction, support, and resources to the data analytics team.

As a stakeholder, the vice president of marketing will most likely be involved in the project from the start, offering feedback on project goals and objectives and engaging with the data analytics team to ensure that the project matches with the marketing department's needs.

Learn more about data analytics here:

https://brainly.com/question/23860654

#SPJ12

entrepreneurship"" (profits) account for about ______ percent of national income.

Answers

Entrepreneurship accounts for about 20 percent of national income. Entrepreneurship refers to the process of creating, developing, and managing a business venture in order to make a profit.

This involves taking risks, innovating, and being creative. Entrepreneurs are often seen as the backbone of the economy, as they create new jobs, drive innovation, and generate wealth. While entrepreneurship accounts for a relatively small percentage of national income, it is an important component of a healthy economy. Governments often encourage entrepreneurship through policies designed to support small businesses, provide access to funding, and promote innovation.

Know more about Entrepreneurship here:

https://brainly.com/question/31008165

#SPJ11

The Lazy O Ranch just purchased equipment costing $60,000. The equipment is expected to last five years and has no salvage value.

A) Calculate the depreciation expense using the straight-line method for the first two years the equipment is owned.
B) Calculate the depreciation expense using the double-declining balance method for the first two years the equipment is owned.

Answers

Depreciation expense for the first two years using the straight-line method is $12,000 per year. Depreciation expense for the first year using the double-declining balance method is $24,000, and for the second year, it is $14,400.

A) To calculate the depreciation expense using the straight-line method, the first step is to determine the depreciable cost of the equipment, which is the original cost minus the salvage value.

In this case, there is no salvage value, so the depreciable cost is simply $60,000. Next, the annual depreciation expense is calculated by dividing the depreciable cost by the useful life of the equipment, which is five years.

Therefore, the annual depreciation expense using the straight-line method is $60,000 ÷ 5 = $12,000. For the first two years the equipment is owned, the depreciation expense would be $12,000 per year.

B) To calculate the depreciation expense using the double-declining balance method, the first step is to determine the depreciation rate, which is double the straight-line rate.

The straight-line rate is calculated by dividing 100% by the useful life of the equipment, which is 5 years, so the straight-line rate is 20%. The double-declining balance rate is therefore 2 x 20% = 40%.

The annual depreciation expense is then calculated by multiplying the book value of the asset at the beginning of the year by the depreciation rate. In the first year, the book value is the original cost of $60,000, so the depreciation expense is $60,000 x 40% = $24,000.

The book value at the end of the first year is $60,000 - $24,000 = $36,000. In the second year, the book value is $36,000, so the depreciation expense is $36,000 x 40% = $14,400.

In summary, the Depreciation expense for the first two years using the straight-line method is $12,000 per year. Depreciation expense for the first year using the double-declining balance method is $24,000, and for the second year, it is $14,400.

To know more about depreciation refer here:

https://brainly.com/question/20938437#

#SPJ11

_____ student loans do not have to be repaid until after a student finishes attending college.

Answers

Student loans generally do not require repayment until after a student completes their education. This period is called the grace period.

Student loans typically do not have to be repaid until after a student finishes attending college. This is because most student loan programs offer a grace period, usually lasting six months after graduation, during which the borrower is not required to make any loan payments. This grace period allows the student to find a job and adjust to post-college life before beginning the repayment process.

It is essential for borrowers to understand the terms and conditions of their specific loan agreement, as well as the interest rates and repayment options available, to plan effectively for repaying their student loans after finishing college.

To know more about Student loans visit:

https://brainly.com/question/29332020

#SPJ11

jackson manufacturing company had a beginning inventory of $16,500. during the year, the company recorded inventory purchases of $60,000 and cost of goods sold of $53,000. the ending inventory must equal: multiple choice $26,500. $23,500. $27,500. $28,500.

Answers

The ending inventory must equal $23,500. To find the ending inventory, we need to use the formula: Ending inventory is calculated as beginning inventory plus purchases less cost of goods sold.

When we enter the values from the question, we obtain:

$16,500 + $60,000 - $53,000 = Ending inventory

Solving for the ending inventory, we get:

$23,500 = Ending inventory

Therefore, the correct answer is $23,500.

1. Start with the beginning inventory: $16,500.

2. Add the inventory purchases during the year: $16,500 + $60,000 = $76,500.

3. Subtract the cost of goods sold: $76,500 - $53,000 = $23,500.

So, the ending inventory is $23,500.

To Know more about inventory plus

https://brainly.com/question/30001735

#SPJ11

9. how have abc company's contributions to retirement plan accounts for archie and elaine performed since january 1, 2016?

Answers

To analyze how ABC Company's contributions to retirement plan account for Archie and Elaine have performed since January 1, 2016, follow these steps:

1. Gather relevant data: Obtain the retirement plan account statements for both Archie and Elaine since January 1, 2016.

2. Identify contributions: Identify and record the amounts and dates of all contributions made by ABC Company to both accounts during this period.

3. Evaluate performance: Calculate the growth or decline in the account value for both Archie and Elaine from January 1, 2016, to the present day. This should take into account any contributions, withdrawals, and investment gains or losses.

4. Compare results: Compare the growth or decline in the account values for Archie and Elaine to assess how well the contributions have performed for each individual.

By following these steps, you can determine how ABC Company's contributions to retirement plan accounts for Archie and Elaine have performed since January 1, 2016.

To know more about retirement plan accounts, refer to:

https://brainly.com/question/20972546

#SPJ11

a crisis in the residential real estate market was caused in part by which of the following strategies by some banks and mortgage companies? (choose every correct answer.) multiple select question. posting fees earned on home mortgages by lending to high-risk clients keeping higher-risk loans separate from low-risk loans as part of their loan portfolios disguising the nature of the loans and repackaging them for sale to investors raising lending standards to ensure that only the wealthiest, safest customers purchased mortgages

Answers

Posting fees earned on home mortgages by lending to high-risk clients

Keeping higher-risk loans separate from low-risk loans as part of their loan portfolios

Disguising the nature of the loans and repackaging them for sale to investors

A crisis in the residential real estate market was caused in part by the following strategies by some banks and mortgage companies:

the correct answers are the first three options: posting fees earned on home mortgages by lending to high-risk clients, keeping higher-risk loans separate from low-risk loans as part of their loan portfolios, and disguising the nature of the loans and repackaging them for sale to investors.

During the housing boom in the early 2000s, some banks and mortgage companies engaged in risky lending practices that extended credit to borrowers with poor credit histories and low incomes. They offered adjustable-rate mortgages (ARMs) with low initial interest rates, which could later increase significantly. These loans were packaged and sold to investors in the form of securities, and when housing prices fell and borrowers began to default on their loans, the securities lost value, and the housing market collapsed.

Learn more about mortgage here:

https://brainly.com/question/31147395

#SPJ11

smart businesses must maintain a positive [blank] with their customers. which phrase best completes this sentence?

Answers

Maintaining a positive relationship with customers is crucial for smart businesses to succeed.

How important is maintaining a positive relationship with customers for smart businesses?

When customers have a positive experience with a smart business, they are more likely to become repeat customers, refer others to the business, and leave positive reviews and ratings, which can help attract new customers.

In contrast, if a business fails to maintain a positive relationship with its customers, it risks losing them to competitors who offer a better experience. Negative reviews and ratings can also harm a business's reputation and make it more difficult to attract new customers.

To maintain a positive relationship with customers, businesses should focus on providing excellent customer service, responding to feedback and complaints promptly, and being transparent and honest in their interactions with customers. By doing so, businesses can build trust and loyalty with their customers and create a positive brand image that sets them apart from their competitors.

Learn more about smart business

brainly.com/question/15403090

#SPJ11

the apv approach is considered useful for valuing acquisition targets, because the method involves finding the values of the unlevered firm and the interest tax shield separately and then summing those values. why is it difficult to value certain types of acquisitions using the corporate valuation model?

Answers

Certain types of acquisitions can be difficult to value using the CVM because they can create complex interactions between the acquiring and target companies, making it difficult to estimate future cash flows accurately.

However, these synergies may be difficult to quantify and may not be fully realized in the short term, making it hard to incorporate them into a DCF analysis.

Additionally, acquisitions may involve significant changes to the capital structure of the combined company, such as the use of debt to finance the acquisition. This can create a complex tax shield that may be difficult to value accurately.

The APV (adjusted present value) approach is considered useful for valuing acquisition targets because it explicitly separates the value of the unlevered firm and the interest tax shield, allowing for more precise estimation of the value of the target company.

This approach can be particularly useful in cases where the capital structure of the target company is expected to change significantly as a result of the acquisition, or where there are expected to be significant synergies that are difficult to quantify.

To learn more about acquisitions, click here:

https://brainly.com/question/15855713

#SPJ11

suppose that over the past year, the real interest rate was 5 percent and the inflation rate was 3 percent. it follows that the dollar value of savings increased at 5 percent, and the purchasing power of savings increased at 8 percent the dollar value of savings increased at 5 percent, and the purchasing power of savings increased at 2 percent. the dollar value of savings increased at 8 percent, and the purchasing power of savings increased at 2 percent the dollar value of savings increased at 8 percent, and the purchasing power of savings increased at 5 percent

Answers

In this scenario, the real interest rate is 5 percent, and the inflation rate is 3 percent C: the dollar value of savings increased at 8 percent, and the purchasing power of savings increased at 2 percent.

The real interest rate represents the actual return on savings after adjusting for inflation, which affects the purchasing power of money. The nominal interest rate, on the other hand, reflects the total increase in the dollar value of savings without accounting for inflation. To calculate the nominal interest rate, you add the real interest rate to the inflation rate. In this case, 5 percent (real interest rate) + 3 percent (inflation rate) = 8 percent (nominal interest rate).

So, the dollar value of savings increased by 8 percent due to the nominal interest rate. However, it is essential to consider the purchasing power of these savings since the inflation rate affects the value of money. Purchasing power measures the number of goods and services that can be bought with a specific amount of money. In this case, the real interest rate of 5 percent represents the increase in purchasing power because it accounts for the 3 percent inflation rate.

Therefore, the dollar value of savings increased at 8 percent, while the purchasing power of savings increased at 2 percent, which represents the actual growth in the value of savings when accounting for inflation. Therefore, the correct option is C.

The question was incomplete, Find the full content below:

suppose that over the past year, the real interest rate was 5 percent and the inflation rate was 3 percent. it follows that

A. the dollar value of savings increased at 5 percent, and the purchasing power of savings increased at 8 percent

B. the dollar value of savings increased at 5 percent, and the purchasing power of savings increased at 2 percent.

C. the dollar value of savings increased at 8 percent, and the purchasing power of savings increased at 2 percent

D. the dollar value of savings increased at 8 percent, and the purchasing power of savings increased at 5 percent

Know more about Inflation rate here:

https://brainly.com/question/29780337

#SPJ11

Opportunities from the Environment

There isn’t much people won’t do for their pets, and this sentiment has only strengthened over the past few years. In the U.S., 95% of pet owners currently consider their pets to be part of the family—up 7 points from 2007. The opportunity to commercialise this trend into a vast range of goods and services – from dog beer to cat counselling, from pet weddings to "social petworking" – is staggering for the company that can position themselves in such a way to gain credibility among this growing demographic.

This trend correlates with the growth of certain pet food segments, including healthy treats, specialty pet foods and other more premium options. Increasingly, pet owners are moving from expectations of "high quality (for pets)" to "humanized"; that is, they desire pet food options that address the same health concerns currently influencing human food production, such as unnatural preservatives and genetically modified ingredients—and they’re serious about these preferences.

Your task would be to address the opportunities for Pet Business in Asia. You may do this by:

Collecting evidence (record via photos) from various sources:

Interview TWO (2) pet owners on how they humanize their pets (Best to choose owners of the same type of pet

Search information on humanization of pets through social media – get examples from pet owners

Secondary report or news from multiple sources on pet products (Source of references must be captured) from etither:

Research report and/OR

News report

Identify the value offering opportunity for pet products to be sold online. EXPLAIN by writing the reasons for your choice of opportunity

Provide source of references.

Answers

Based on the evidence collected, the opportunity for a pet business in Asia is to offer high-quality, humanized pet food products through online channels. Interviews with pet owners revealed a growing trend toward humanizing pets and a preference for natural, healthy food options.

Social media also provided examples of pet owners seeking out and promoting human-grade, natural pet food products. This trend aligns with the growth of certain pet food segments, such as healthy treats and specialty pet foods.

By offering these types of products online, pet businesses can tap into a growing market of pet owners who prioritize their pets' health and well-being. References: American Pet Products Association, Euromonitor International, Nielsen.

Learn more about offer high-quality

https://brainly.com/question/24153579

#SPJ4

FILL IN THE BLANK. Markets that are underserved and can create opportunity for a new product are referred to as​ _____.A.perceived segmentB.upscale marketC.downscale marketD.retro segmentE.neglected segments

Answers

Markets that are underserved and can create opportunity for a new product are referred to as​ neglected segments. Option E is correct.

These are customer segments that have been overlooked or ignored by existing products or services in the market. Neglected segments can include low-income consumers, rural or remote communities, or certain demographic groups that have unique needs or preferences.

By identifying these neglected segments and developing products or services that meet their specific needs, businesses can create new market opportunities and gain a competitive advantage.

However, it's important to note that neglected segments may require a different marketing approach or pricing strategy, as their purchasing behavior and preferences may differ from those of mainstream consumers.

Therefore, option E is correct.

Learn more about markets https://brainly.com/question/17284274

#SPJ11

Grouper Inc. reports accounting income of $102,000 for 2020, its first year of operations. The following items cause taxable income to be different than income reported on the financial statements. 1. Capital cost allowance on the tax return) is greater than depreciation on the income statement by $17,100. 2. Rent revenue reported on the tax return is $25,650 higher than rent revenue reported on the income statement. Non-deductible fines appear as an expense of $15,800 on the income statement. 3. 4. Grouper's tax rate is 30% for all years and the company expects to report taxable income in all future years. Grouper reports under IFRS.

Answers

The journal entries to record income taxes for 2020 are as follows: Debit Income tax expense for $38,985,  Credit Income tax payable for $38,985, Debit Deferred tax expense for $12,825, Credit Deferred tax liability for $12,825.

Grouper Inc.'s taxable income for 2020 can be calculated by adjusting its accounting income with the given items. The accounting income is $102,000. Adjustments include:

1. Add $17,100 (Capital cost allowance is greater than depreciation by this amount).
2. Add $25,650 (Rent revenue reported on the tax return is higher than the income statement).
3. Subtract non-deductible fines of $15,800.

Taxable income for 2020 = $102,000 + $17,100 + $25,650 - $15,800 = $129,950.

Income tax payable for 2020 = Taxable income * Tax rate = $129,950 * 30% = $38,985.

To calculate the deferred tax balances at December 31, 2020, consider the temporary differences caused by the capital cost allowance and rent revenue. Deferred tax liability is calculated as:

Deferred tax liability = Temporary difference * Tax rate
= ($17,100 + $25,650) * 30%
= $42,750 * 30%
= $12,825.

The journal entries to record income taxes for 2020 are as follows:

1. Debit Income tax expense for $38,985.
2. Credit Income tax payable for $38,985.
3. Debit Deferred tax expense for $12,825.
4. Credit Deferred tax liability for $12,825.

To know more about income taxes, refer here:

https://brainly.com/question/16179575#

#SPJ11

Complete question:

Grouper Inc. reports accounting income of $102,000 for 2020, its first year of operations. The following items cause taxable income to be different than income reported on the financial statements.

1. Capital cost allowance on the tax return) is greater than depreciation on the income statement by $17,100.

2. Rent revenue reported on the tax return is $25,650 higher than rent revenue reported on the income statement. Non-deductible fines appear as an expense of $15,800 on the income statement.

3. 4. Grouper's tax rate is 30% for all years and the company expects to report taxable income in all future years. Grouper reports under IFRS.

Your answer is correct.

Calculate taxable income and income tax payable for 2020.

Taxable income for 2020 $ 126350

Income tax payable for 2020 $ 37905

e Textbook and Media

Calculate any deferred tax balances at December 31, 2020.

Deferred tax asset $ e Textbook and Media Your answer is partially correct.

Prepare the journal entries to record income taxes for 2020. (Credit account titles are automatically indented when the amount is entered. Do not indent manually.

If no entry is required, select "No Entry" for the account titles and enter for the amounts.)

Write an analysis about The Italian Cinderella story with

historical context

Answers

"The Italian Cinderella," tells the tale of a young girl named Zezolla who is mistreated by her stepmother and stepsisters. With the help of a magical dove, Zezolla is able to attend a ball and captivate the prince, who falls in love with her.

"The Italian Cinderella" is a folktale from Italy that has been passed down through generations. The historical context of this story can be traced back to the Italian Renaissance, a period of great cultural and artistic flourishing in Italy during the 14th-17th centuries.

During this time, the concept of the fairytale began to emerge as a popular form of entertainment for both children and adults. The Italian Cinderella is a reflection of the cultural values and beliefs of this time period, including the idea of social mobility and the power of true love.

The story also incorporates elements of Italian folklore, including the use of a magical animal as a helper and the idea that good deeds will be rewarded. These elements reflect the importance of nature and the supernatural in Italian culture.

Overall, the Italian Cinderella is a fascinating example of how folktales can provide insights into the historical context and cultural values of a society.

To know more about Cinderella refer here:

https://brainly.com/question/22484709#

#SPJ11

which of the following is a suggested way for managers to stimulate conflict? group of answer choices setting superordinate goals expanding the resource base changing established procedures matching personalities and work habits of employees enhancing coordination of interdependence

Answers

The suggested way for managers to stimulate conflict among the given choices is changing established procedures. Option C is correct.

Changing established procedures can create uncertainty and resistance among employees who are accustomed to the old way of doing things, leading to conflict.

However, it should be noted that deliberately stimulating conflict is generally not a recommended approach for managing workplace relationships, and any changes to established procedures should be made thoughtfully and with the goal of improving efficiency or effectiveness, rather than simply to create conflict. Thank you for bringing this to my attention.

Therefore, option C is correct.

which of the following is a suggested way for managers to stimulate conflict? group of answer choices

A. setting superordinate goals

B. expanding the resource base

C. changing established procedures

D. matching personalities and work habits of employees

E. enhancing coordination of interdependence

Learn more about managers https://brainly.com/question/17312484

#SPJ11

What percentage of retirement funds should I withdraw each year?

Answers

Answer:

4%

Explanation:

Answer is 4%

Explanation
The 4% rule is designed to make your money last for at least 30 years in retirement. By withdrawing 4% of your initial retirement portfolio annually, adjusted for inflation, you can maintain a steady income without depleting your savings too quickly.

to be an effective property manager, a licensee must be familiar with a variety of ______.

Answers

Answer:

communication is the answer to the question

the marginal cost of labor curve will lie above the labor supply curves for firms that the marginal cost of labor curve will lie above the labor supply curves for firms that are non-discriminating monopsonists. have no market power in the labor market. are perfectly discriminating monopsonists. purchase labor in a perfectly competitive market.

Answers

The marginal cost of labor curve will lie above the labor supply curves for firms that are non-discriminating monopsonistic.

This is because non-discriminating monopsonistic have market power in the labor market and can therefore pay lower wages than a perfectly competitive market. As they hire more workers, the marginal cost of labor increases, which means they need to pay higher wages to attract additional workers.

However, even with higher wages, the labor supply curve remains relatively flat due to the lack of competition in the market. On the other hand, firms that purchase labor in a perfectly competitive market will have a labor supply curve that is perfectly elastic, meaning they have no market power and cannot influence wages. As a result, the marginal cost of labor curve will be identical to the labor supply curve in a perfectly competitive market.

Firms that are perfectly discriminating monopsonists have the ability to pay different wages to different workers based on their productivity, but the marginal cost of labor curve will still lie above the labor supply curves due to their market power.

To know more about monopsonistic visit

https://brainly.com/question/30282590

#SPJ11

Expected return and standard deviation. Use the following information to answer the questions a. What is the expected return of each assel? b. What are the variance and the standard deviation of each asset? c. What is the expected return of a portfolio with equal investment in all three assets? d. What is the portfolio's variance and standard deviation using the same asset weights in party? Hint Make sure to round all intermediate calculations to at least seven (7) decimal places.

Answers

Expected return (or expected return on investment) is a concept in finance that measures the expected profit or loss from an investment over a period of time.

It is usually expressed as a percentage and is calculated by taking the expected rate of return of an asset and then discounting for any risk associated with that asset.

Standard deviation is a measurement of how spread out a set of numbers is from its average. It indicates the degree of variability or dispersal of a set of data values around the mean. The higher the standard deviation, the more dispersed the values are from the mean. Standard deviation is often used to measure investment risk.

a. The expected return of each asset is calculated as the sum of the probability of each outcome multiplied by the return of that outcome.

For Asset A, the expected return is (0.2 * -10%) + (0.4 * 5%) + (0.4 * 15%) = 7%. For Asset B, the expected return is (0.2 * -5%) + (0.5 * 10%) + (0.3 * 20%) = 11.5%. For Asset C, the expected return is (0.2 * -20%) + (0.3 * 0%) + (0.5 * 25%) = 17.5%.

b. The variance of each asset is calculated by summing the squared differences between each probability multiplied by its return and the expected return, all divided by the total number of outcomes. For Asset A, the variance is (((0.2*(-10%-7%))^2 + ((0.4*(5%-7%))^2 + ((0.4*(15%-7%))^2)) / 3 = 0.0444. The standard deviation of Asset A is the square root of the variance, which is 0.21. For Asset B, the variance is (((0.2*(-5%-11.5%))^2 + ((0.5*(10%-11.5%))^2 + ((0.3*(20%-11.5%))^2)) / 3 = 0.0111. The standard deviation of Asset B is the square root of the variance, which is 0.105. For Asset C, the variance is (((0.2*(-20%-17.5%))^2 + ((0.3*(0%-17.5%))^2 + ((0.5*(25%-17.5%))^2)) / 3 = 0.0167. The standard deviation of Asset C is the square root of the variance, which is 0.129.

c. The expected return of a portfolio with equal investment in all three assets is calculated as the weighted average of the expected return of each asset. The expected return of the portfolio is (0.33 * 7%) + (0.33 * 11.5%) + (0.33 * 17.5%) = 12.5%.

d. The variance of a portfolio with equal investments in all three assets is calculated as the sum of the weighted variance of each asset. The variance of the portfolio is (0.33^2 * 0.0444) + (0.33^2 * 0.0111) + (0.33^2 * 0.0167) = 0.0104. The standard deviation of the portfolio is the square root of the variance, which is 0.102.

Know more about portfolio here

https://brainly.com/question/13924933#

#SPJ11

Heidi purchases an original work by one of her favorite sculptors

from an art dealer for $8,000. When the sculpture arrives, Heidi determines that she no longer likes it and refuses delivery.

What remedy does Heidi have in this scenario?

a) As long as Heidi notifies the seller that she is refusing delivery, she is entitled to recover the $8,000 that she paid for the sculpture.

b) Heidi may cancel the contract, upon which time she is excused from any further performance.

c) Heidi has no recourse, because the seller is not in breach of contract and Heidi did not rightfully refuse delivery.

d) Heidi is entitled to a refund of the $8,000 that she paid for the sculpture as well as the shipping costs associated with returning it, regardless of whether or not she notifies the seller of her refusal to accept delivery

Answers

The correct remedy that Heidi has in this scenario is Heidi is entitled to a refund of the $8,000 that she paid for the sculpture as well as the shipping costs associated with returning it, regardless of whether or not she notifies the seller of her refusal to accept delivery. The correct option is D.

Under the Uniform Commercial Code (UCC), which governs contracts for the sale of goods, a buyer has the right to reject goods that do not conform to the contract, including goods that are damaged or not as described. In this case, since Heidi determined that she no longer liked the sculpture upon its arrival, she has the right to reject it.

As a result, Heidi is entitled to a refund of the purchase price as well as any shipping costs associated with returning the sculpture, regardless of whether or not she notifies the seller of her refusal to accept delivery. This is because under the UCC, the seller has a duty to refund the purchase price and cover any expenses incurred as a result of the buyer's rejection of the goods.

The correct option is D.

To know more about shipping costs, click here.

https://brainly.com/question/31033157

#SPJ4

FINANCIAL MATHEMATICSPlease provide and explain how to calculate and get the answerexactly like this, using excel!Answer :1. 4%2. $22.2 millionQuestion :1. A loan should be fully repaid in 60 monthly instalments of $5 million. If the loan is $250 million, what is the flat interest rate of the loan?

2. $1 billion (5.5% coupon, paid semi-annually) will mature on April 15, 2026. If you buy this bond on March 15, 2022, what is the approximate amount of accrued interest (act/act basis)?

Answers

The rate is the interest rate, the number of payments is 60, the present value is $250 million, and the future value is 0. After entering the inputs, the resulting flat interest rate is 4%.

1. To calculate the flat interest rate of a loan that should be repaid in 60 monthly installments of $5 million, we can use the Excel PMT function. This function requires the following inputs: rate, number of payments, present value, and future value.

The rate is the interest rate, the number of payments is 60, the present value is $250 million, and the future value is 0. After entering the inputs, the resulting flat interest rate is 4%.

2. To calculate the approximate amount of accrued interest (act/act basis) of a bond that matures on April 15, 2026, we can use the Excel ACCRINT function. This function requires the following inputs: issue date, first interest date, settlement date, rate, par, and frequency. The issue date is March 15, 2022, the first interest date is April 15, 2022, the settlement date is March 15, 2022, the rate is 5.5%, the par is $1 billion, and the frequency is semi-annually. After entering the inputs, the resulting accrued interest is $22.2 million.

Know more about  Excel PMT function here

https://brainly.com/question/29846429#

#SPJ11

if yesterday us$1 traded for ¥100 and today us$1 trades for ¥101, we would say

Answers

If yesterday US$1 traded for ¥100 and today US$1 traded for ¥101, we would say that the US dollar has appreciated against the Japanese yen. This means the exchange rate has increased.

This means that one US dollar now buys more Japanese yen than it did before. The increase in the exchange rate from ¥100 to ¥101 indicates that the Japanese yen has weakened against the US dollar. In other words, if you were to exchange US$1 for Japanese yen yesterday, you would have received ¥100. Today, if you were to exchange the same US$1, you would receive ¥101, which is an increase of ¥1. This may not seem like a significant change, but it could have implications for international trade and investment.

A stronger US dollar can make American exports more expensive for foreign buyers, which could hurt US businesses that rely on exports. On the other hand, a weaker Japanese yen could make Japanese exports cheaper for foreign buyers, which could benefit Japanese businesses that rely on exports.

Overall, changes in exchange rates can have complex and far-reaching effects on the global economy. It is important to keep an eye on currency fluctuations and understand how they might impact different countries, industries, and individuals.

To know more about Exchange Rates visit:

https://brainly.com/question/29562028

#SPJ11

In preparing a business report based on research, the first step is to ______. understand what the decision makers want the report to do.

Answers

In preparing a business report based on research, the first step is to understand what the decision makers want the report to do.

This requires analyzing the purpose and scope of the report, identifying the target audience, and understanding their requirements and expectations. The report's objectives, such as providing insights, recommendations, or solutions, should be clearly defined and aligned with the decision makers' needs. A clear understanding of the report's purpose and objectives is essential in developing a research plan, collecting relevant data, analyzing and interpreting findings, and presenting the report's conclusions effectively. Failure to establish clear objectives at the outset of the research process can lead to wasted time, resources, and ineffective reporting.

Learn more about target audience,

https://brainly.com/question/31192753

#SPJ4

Full Question ;

In preparing a business report based on research, the first step is to ______. .

white-collar crime, which is usually committed by corporate or government officials, typically involves crimes committed for financial gain, such as: choose 2 answers.

Answers

White-collar crime refers to non-violent offenses committed by corporate or government officials for financial gain. Two common examples of white-collar crimes are embezzlement and insider trading.

Embezzlement occurs when an individual in a position of trust, such as an employee or executive, misappropriates company funds or assets for personal use. This can involve diverting funds, manipulating financial records, or stealing valuable assets. Embezzlement can have significant financial consequences for organizations and may result in loss of investor confidence.

Insider trading, on the other hand, involves the illegal trading of a company's stock or other securities based on non-public, material information. Corporate or government officials with access to confidential information might use this knowledge to make trades for personal profit or to provide tips to others, which undermines the fairness of financial markets.

Both embezzlement and insider trading are examples of white-collar crime that can cause severe financial damage to organizations and individuals, as well as erode public trust in institutions. Prosecuting these offenses is essential to maintain the integrity of financial systems and promote ethical business practices.

To learn more about financial markets click here

brainly.com/question/13400473

#SPJ11

Other Questions
what was the purpose of turning official crime data into community statistics in san francisco Which of the following answers refers to a command-line tool used for security auditing and testing of firewalls and networks?-pathping-netstat-nslookup-hping each of the following are reported as fiduciary funds except: group of answer choices a permanent fund. an investment trust fund. a private-purpose trust fund. a custodial fund. 9.which of the following statements is true of main products and byproducts? a) a byproduct will never become a main product. b) a main product will never become a byproduct. c) product classifications may change over time. d) product classifications remains constant over time. the rock pumice often floats yet the density of the rock is greater than water. why does it float? Rewrite the sentence were / obviously / use /a/ teacher / lazy students /the / not/to/having / such / demanding in thorne's model of ethical decision making, the instrumental virtues relate to moral sensitivity. ethical reasoning. ethical motivation. correct! ethical character. Recommend strategies that the youth could put in place to ensure their cyber safety when using social media. In your answer, also indicate how this strategy could lead to greater cyber safety. Advices (3 x 3) (9) [21] if hot dogs cost $2 this year and $3 next year, then 100 hotdogs will contribute if a switch has eight 100-mbps ports, the backplane has to support a total of ____ mbps. what happens to the force between charges if one charge is doubled and the distance between them is doubled? the two-factor theory of ptsd states that first fear is _______ , and then ______. is the sense of smell more important as a protective and in a food-getting sense in sheep or in humans? is increased blood pressure an effect of the sympathetic nervous system (sns) or the parasympathetic nervous system (psns)? the contents of query datasheet are permanent. ____________________ jay, a single taxpayer, has a 2022 business loss from a partnership. assuming the loss is deductible under the basis, at-risk amounts, and passive loss rules, what is the maximum amount that jay can deduct in 2022? A handgrip dynamometer is an easy method of assessing. strength. a) isotonic b) dynamic c) isometric d) isokinetic. if a coin is flipped 10 times what is the probability of approximately 5 heads, that is, exactly 4 or 5 or 6 heads? Regina is 8-years old and is obese. Which of the following recommendations is not appropriate to help Regina attain a healthy weight? During Noras conversation with Krogstad, he tells Nora, Or if you should think of -- something -- worse -- What does he think she is planning? Why does he think that?