The volatility of Home Depot Share price is 30% and that of General Motors shares is 30. When thoa both stocks in my portfolio and the stock turns have come to the cavolatility of returns of the portfolioA. Unchanged at 30%B. Less than 30%C. More than 30%D. Cannot say forum 

Answers

Answer 1

In conclusion, the answer to the question is D. Cannot say without knowing the correlation between the two stocks.

If both Home Depot and General Motors stocks are added to a portfolio, the volatility of the portfolio will not necessarily be the same as either stock. This is because the volatility of the portfolio is affected not only by the individual stocks but also by their correlation with each other. If the two stocks have a positive correlation, the volatility of the portfolio will be higher than 30%. If they have a negative correlation, the volatility of the portfolio will be lower than 30%. If they are uncorrelated, the volatility of the portfolio will still be 30%.
Therefore, it is impossible to determine the volatility of the portfolio without knowing the correlation between the two stocks. It is important to note that diversifying a portfolio by adding stocks with different levels of volatility and correlation can potentially reduce overall portfolio volatility.
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Related Questions

You are a CPA and the controller for a small savings and loan. The organization is at a critical juncture. You and top management of the savings and loan have a meeting about the current status of the organization prior to your annual audit. The main concern is the collectability of several real estate loans. The savings and loan is a small player in a group of savings and loans that participated in several large development properties. While the savings and loan’s investment is small compared to the overall total invested in these projects, the amount invested is material to your firm’s balance sheet. With the recent downturn in the housing market, the futures of the development properties are in jeopardy.The president of the savings and loan just participated in a phone conference with the other investors and tells you that a group of the largest investors are negotiating with the developers on a write‐down on the loans. The potential write‐down of these assets would have a devastating impact on the solvency of your savings and loan. Management points out that at this time there are only discussions going on and nothing has been committed to paper, but it is a real fear that the process will progress and a write‐down is likely within the next six months.The auditors are scheduled to begin their audit next week. If you disclose this information to the auditors you fear that it will lead to a "Going Concern" opinion, which in most probability would be the beginning of the end for the institution. Not disclosing the potential write‐down would give you a chance to locate a position elsewhere prior to the failing of the savings and loan.What do you do?What ethical issues are involved in the case?What gives rise to the ethical dilemma?

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The ethical dilemma in this case are professional integrity, confidentiality, and objectivity which arise from the conflicting responsibilities you have towards different stakeholders. To address this dilemma, it is vital to prioritize professional integrity and objectivity.

As a CPA and controller for a small savings and loan, you are faced with an ethical dilemma regarding the disclosure of potential write-downs on real estate loans. The main ethical issues involved in this case include:

1. Professional integrity: As a professional accountant, you have a duty to provide accurate and complete information to stakeholders, including auditors, to ensure transparent financial reporting.

2. Confidentiality: You must consider the sensitivity of the information discussed in the meeting with top management and whether disclosing it would violate any confidentiality agreements.

3. Objectivity: You must remain unbiased and avoid any conflicts of interest, such as considering your own career prospects when deciding whether to disclose the potential write-downs.

The ethical dilemma arises from the conflicting responsibilities you have towards different stakeholders. On one hand, you have a duty to provide accurate and transparent financial information to auditors, which includes disclosing the potential write-downs on the real estate loans. On the other hand, you must consider the potential negative consequences of disclosing this information, such as a "Going Concern" opinion that could ultimately lead to the failure of the institution and job loss for you and your colleagues.

To address this dilemma, it is essential to prioritize professional integrity and objectivity. You should disclose the potential write-downs to the auditors, as withholding material information would be a violation of your professional responsibilities. This decision upholds ethical standards and ensures that all stakeholders, including investors, have access to accurate and transparent financial information, which is critical for informed decision-making.

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Stephanie's bridal shoppe sells wedding dresses. The average selling price of each dress is $1000, variable costs are $400 and fixed costs are $110000. How many dresses must the bridal shoppe sell to yield after tax net income of $19000 assuming the tax rate is 40%

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Stephanie's bridal shoppe must sell 237 dress to yield after tax net income of $19000 with tax rate of 40%.

To calculate the number of dresses Stephanie's bridal shoppe must sell to yield an after-tax net income of $19000, we need to use the following formula:

Net Income = (Selling Price - Variable Costs) x Quantity - Fixed Costs - Taxes

We know that the selling price of each dress is $1000 and the variable costs are $400, so the contribution margin per dress is $600 ($1000 - $400). We also know that the fixed costs are $110000 and the tax rate is 40%.

Let's plug in the numbers and solve for quantity:

$19000 = ($600 x Q) - $110000 - (0.4 x ($600 x Q - $110000))
$19000 = $600Q - $110000 - $240Q + $44000
$19000 + $110000 - $44000 = $360Q
$85000 = $360Q
Q = 236.11

Therefore, it is advisable for Stephanie to sell 237 dresses (rounded to nearest number).

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1. consider an asset that provides the same return no matter what economic state occurs. what would be the standard deviation (or risk) of this asset? explain.

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If an asset provides the same return no matter what economic state occurs, then it can be considered a risk-free asset. This type of asset is typically government bonds or similar securities. The standard deviation or risk of this asset would be extremely low because it is not subject to the fluctuations of the market.

Standard deviation is a measure of the volatility of an asset's returns. It is calculated by determining the difference between the actual return and the average return, and then squaring the difference. The squared differences are then averaged, and the square root of that number is the standard deviation.
Since a risk-free asset has a guaranteed return, there is no variability in the returns. Therefore, the difference between the actual return and the average return is zero, and the standard deviation is also zero. This means that the risk of a risk-free asset is essentially non-existent.
Overall, a risk-free asset provides a safe haven for investors who want to avoid the fluctuations of the market. However, the downside of a risk-free asset is that the returns are typically lower than other assets that have higher risk. Investors need to weigh the benefits of safety versus the potential for higher returns when deciding on their investment strategy.

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Teamwork: Teamwork Makes the App Work (OB) Narrator Hybrid rewards could work to increase cooperation as a team. It may take extra work and approval from Sara, so this may not be the best path. You propose the idea to the team. What kind of hybrid reward did you have in mind? Kelsey We'll take 50% of your salary and link it to app performance as a whole. If the team does well - you could all make more money. We'll give each person a target specific to their field - like staying under budget for Jose - and if the team hits your target you get a bonus of 5-10% of your salary. We'll create a bonus pool of 5-10% of your salaries that everyone will get if the app hits its target release date and sales numbers

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The proposed hybrid reward system is a great way to increase cooperation and motivation within the team.

It's important to note that hybrid rewards are a combination of individual and team-based incentives. The system that Kelsey proposed is a good example of this. The third reward is another team-based incentive. By creating a bonus pool of 5-10% of everyone's salaries, it creates a sense of camaraderie and shared responsibility.

A hybrid reward system combines individual and team-based incentives to increase cooperation within a team. In the proposed idea, 50% of each team member's salary would be linked to the overall performance of the app. Individual targets specific to each member's field would be set, and if the team meets these targets, each person would receive a bonus of 5-10% of their salary.

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A company has a fiscal year-end of December 31:


(1) on October 1, $28,000 was paid for a one-year fire insurance policy;


(2) on June 30 the company lent its chief financial officer $26,000; principal and interest at 8% are due in one year; and


(3) equipment costing $76,000 was purchased at the beginning of the year for cash. Depreciation on the equipment is $15,200 per year.


If the adjusting entries were not recorded, would net income be higher or lower and by how much?

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If the adjusting entries were not recorded, net income would be higher by $15,200.

Let's analyze each transaction and its impact on net income:

1) Payment for a one-year fire insurance policy on October 1:

When the payment of $28,000 was made, it would be recorded as an expense for the entire year. However, if adjusting entries are not recorded, the expense would not be recognized proportionally over the year. As a result, net income would be higher by $28,000.

2) Loan to the chief financial officer on June 30:

The loan provided to the CFO would generate interest income for the company. The interest income would be recognized over a one-year period. If adjusting entries are not recorded, the interest income of $26,000 x 8% = $2,080 would not be recognized, resulting in higher net income.

3) Equipment purchase and depreciation:

The purchase of equipment for $76,000 would be recorded as an expense at the beginning of the year. However, depreciation expense should be recognized over the useful life of the equipment. If adjusting entries are not recorded, the annual depreciation expense of $15,200 would not be recognized, resulting in higher net income.

Therefore, the total impact on net income would be $28,000 (fire insurance) + $2,080 (interest income) + $15,200 (depreciation) = $45,280. Net income would be higher by $45,280 if the adjusting entries were not recorded.

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Job enrichment involves changing Finish at Select one: O a. The jobs title O b. The jobs pay structure O c. One or more of the job's characteristics O d. The scope of responsibility of the job

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Job enrichment involves changing one or more of the job's characteristics.

To elaborate, job enrichment aims to enhance employee satisfaction and motivation by providing more challenging and fulfilling tasks, increased responsibility, and opportunities for growth and development.

This is done by altering various aspects of the job, such as task variety, autonomy, and feedback, which ultimately lead to a more engaged and satisfied workforce.

Some common job enrichment strategies include job rotation, where employees rotate through different roles, and task significance, where employees are given tasks with a direct impact on the organization's success.

By enriching a job's characteristics, employers can improve employee performance and job satisfaction, leading to increased productivity and reduced turnover.

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What would be the income tax expense reported on the face of the income statement?

Sales revenue

Cost of goods sold

Salaries and wages expense Depreciation expense

Dividend revenue

Utilities expense

Loss from discontinued operations Interest expense

Income Tax rate 40%

Answers

In order to determine the income tax expense, the taxable income should be calculated first.

The taxable income can be computed by taking the net income before taxes and adding back non-deductible expenses and subtracting non-taxable revenue items.Using the provided data:Sales revenue = $400,000Cost of goods sold = $200,000Salaries and wages expense = $50,000Depreciation expense = $30,000Dividend revenue = $10,000Utilities expense = $15,000.

Loss from discontinued operations = $5,000Interest expense = $20,000Tax rate = 40%The first step is to calculate the net income before taxes.Net income before taxes = Sales revenue - Cost of goods sold - Salaries and wages expense - Depreciation expense + Dividend revenue - Utilities expense - Loss from discontinued operations - Interest expenseNet income before taxes = $400,000 - $200,000 - $50,000 - $30,000 + $10,000 - $15,000 - $5,000 - $20,000Net income before taxes = $90,000.

To compute the taxable income, non-deductible expenses and non-taxable revenue items must be adjusted.Taxable income = Net income before taxes + Non-deductible expenses - Non-taxable revenue itemsNon-deductible expenses = Depreciation expense = $30,000Non-taxable revenue items = Dividend revenue = $10,000Taxable income = $90,000 + $30,000 - $10,000Taxable income = $110,000Finally, the income tax expense can be computed by multiplying the taxable income by the tax rate.Income tax expense = Taxable income x Tax rateIncome tax expense = $110,000 x 40%Income tax expense = $44,000Therefore, the income tax expense reported on the face of the income statement would be $44,000.

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The rational expectations theory states that individuals and firms make decisions by taking everything into account. Thus:
A) if it's clear that the government intends to trade off higher inflation for lower
unemployment, the public will understand this and help the government achieve its
goal.
B) if it's clear that the government intends to trade off higher inflation for lower
unemployment, the public will understand this and inflation expectations will
immediately rise.
C) a government attempt to trade off higher inflation for lower unemployment would
not work in the short run but would be fine in the long run.
D) if people are not expecting inflation and are unaware of government policies,
inflation expectations are not going to be embedded.

Answers

The rational expectations theory states that if it's clear that the government intends to trade off higher inflation for lower unemployment, the public will understand this and inflation expectations will immediately rise therefore the correct answer is option (B). This is because individuals and firms make decisions by taking all available information into account.

The rational expectations theory assumes that people are constantly updating their expectations based on the most recent information, and as a result, they will adjust their behavior accordingly. In this case, if the government's intention to trade off higher inflation for lower unemployment is clear, the public will factor this into their expectations and actions.

Consequently, inflation expectations will rise as people adjust their behavior in anticipation of the government's policy. This can potentially reduce the effectiveness of the government's attempt to lower unemployment through higher inflation, as people's anticipatory actions may counteract the intended outcome.

Overall, the rational expectations theory emphasizes the importance of considering people's ability to adapt and respond to new information in the context of economic policy and decision-making.

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An exporter faced with exposure to an appreciating currency can reduce transaction exposure with a strategy of
a.paying or collecting early.
b.paying or collecting late.
c.paying late, collecting early.
d.paying early, collecting late.

Answers

When an exporter is faced with exposure to an appreciating currency, they can reduce their transaction exposure through a strategy of paying early and collecting late. Option D

This strategy is known as "leading" or "anticipating" the market. By paying early, the exporter is able to lock in a favorable exchange rate, which means they will pay less in the foreign currency.

By collecting late, they delay receiving payment in the foreign currency until the exchange rate is more favorable, which means they will receive more in their own currency.

Paying or collecting late may seem like a viable option, but it actually increases the transaction exposure as it leaves the exporter vulnerable to exchange rate fluctuations.

By delaying payment, the exporter may end up paying more in their own currency due to the appreciation of the foreign currency. Similarly, by collecting late, they may receive less in their own currency if the exchange rate has depreciated.

Paying or collecting early, on the other hand, reduces the transaction exposure as it eliminates the risk of exchange rate fluctuations. However, this strategy may not always be feasible as it requires a significant amount of cash flow and may not be financially viable for the exporter.

In summary, when faced with exposure to an appreciating currency, an exporter can reduce their transaction exposure by leading the market and paying early while collecting late.

This strategy minimizes the risk of exchange rate fluctuations and ensures that the exporter receives the maximum value for their goods and services. So Option D is correct.

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An exporter faced with exposure to an appreciating currency can reduce transaction exposure with a strategy of paying late and collecting early. This means delaying payments as long as possible while trying to receive payment as soon as possible.

This strategy allows the exporter to take advantage of the favorable exchange rate by receiving more domestic currency for each unit of the foreign currency received. By delaying payments, the exporter also has more time to generate additional revenue, which can offset the negative impact of the appreciating currency.

On the other hand, paying early and collecting late would increase the transaction exposure as the exporter would be converting more domestic currency into the foreign currency, resulting in a higher cost. Additionally, paying or collecting late could damage the business relationship with the counterparty and may not be a feasible option in all cases.

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Bond A makes semi-annual interest payments of $30. Bond B makes an annual payment of $50. All else equal, which one has the higher coupon rate?
A
B
A=B

Answers

Bond A makes semi-annual interest payments of $30. Bond B makes an annual payment of $50. All else equal, bond A interset payment. Thus, option (a) is correct.

Bond A's annual interest payment is lower. Bond A has a lower coupon rate than Bond B because the annual interest payment is divided by the face value of the bond.

A bond's coupon rate might alter due to a number of circumstances. The coupon rate is the predetermined annual interest rate at which a bond pays the bondholder.

As a result, the significance of the one has the higher coupon rate are the aforementioned. Therefore, option (a) is correct.

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typical arguments against csr include that such programs are only for non-profit organizations and csr programs cost money which will reduce a business' profits.True/False

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False. These are not typical arguments against CSR. The idea that CSR programs are only for non-profit organizations is a misconception.

CSR, or Corporate Social Responsibility, is a concept that applies to all types of organizations, including for-profit businesses. CSR refers to a company's commitment to act in an ethical and responsible way towards its stakeholders, including customers, employees, suppliers, the environment, and society at large. Companies can engage in CSR activities in various ways, such as reducing their environmental footprint, promoting diversity and inclusion, supporting social causes, or implementing fair labor practices

The argument that CSR programs cost money and reduce a business's profits is also not entirely accurate. While it is true that implementing CSR initiatives may require financial investments, such as funding social programs or improving sustainability practices, such programs can also bring long-term benefits to a business. For instance, CSR initiatives can enhance a company's reputation, build customer loyalty, attract and retain talented employees, and improve operational efficiency. In fact, many studies have shown that companies with strong CSR practices tend to perform better financially over the long term.

Therefore, rather than being a burden, CSR can be an opportunity for businesses to create shared value and contribute to society while also creating value for their stakeholders and shareholders.

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true/false. target date funds invest mainly in stocks at the beginning of the life of the fund & move toward bonds as the target date approaches.

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The given statement "Target date funds invest mainly in stocks at the beginning of the life of the fund & move toward bonds as the target date approaches. is true because target date funds are a type of mutual fund that are designed to be a one-stop-shop investment solution for individuals who are saving for retirement.

These funds invest in a combination of stocks, bonds, and other assets, with the asset allocation becoming more conservative as the target date approaches. The target date refers to the date when the investor plans to retire or start withdrawing their funds. When a target date fund is first created, it typically has a higher allocation to stocks because they tend to offer higher potential returns over the long term.

As the target date approaches, the fund will gradually shift its allocation towards bonds and other fixed-income securities, which are generally considered to be less volatile and more stable. This is done to reduce the overall risk of the portfolio and protect against potential market downturns that could significantly impact an investor's retirement savings.

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suppose that $2500 is invested in an account that pays interest compounded continuously. find the amount of time that it would take for the account to grow to $3500 at

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The annual interest rate required for the account to grow from $2500 to $3500 in one year with continuous compounding is 40.55%.

Assuming an annual interest rate of r, the time (in years) it takes for an initial investment P to grow to a future value F with continuous compounding can be found using the formula t = ln(F/P) / (r), where ln is the natural logarithm.

To solve the problem, we can plug in the values given: P = $2500, F = $3500, and r is unknown. Then, we can solve for r using the formula:

t = ln(F/P) / (r)

t = ln($3500/$2500) / (r)

t = 0.4055 / (r)

Now, we need to find the value of r that makes t = 1, since we are looking for the time it takes to grow from $2500 to $3500 in one year:

1 = 0.4055 / (r)

r = 0.4055

Therefore, the annual interest rate required for the account to grow from $2500 to $3500 in one year with continuous compounding is 40.55%.

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in a tree based replication with n locations registers what is the worst case update cost

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The worst-case update cost in a tree-based replication with n locations registers is O(log n).

In tree-based replication, updates are propagated from the root to the leaf nodes in a hierarchical manner. The update cost is determined by the number of nodes that need to be updated to propagate the change to all locations. In the worst case, the update needs to be propagated from the root to all the leaf nodes. This results in a total of log n levels in the tree, where n is the number of locations registers. At each level, the update needs to be propagated to all the nodes at that level. Therefore, the worst-case update cost is O(log n).

In tree-based replication, the system is organized as a tree, with the root node representing the master copy of the data and the leaf nodes representing the replica copies. Each internal node in the tree maintains a copy of the data and forwards updates to its children nodes. This way, updates propagate down the tree in a hierarchical manner until all leaf nodes have received the update. The update cost in tree-based replication depends on the depth of the tree and the number of nodes at each level. In the worst case, when all locations registers need to be updated, the update needs to be propagated from the root to all the leaf nodes. Assuming that the tree is balanced, the number of nodes at each level is approximately equal to 2^k, where k is the level of the node. Therefore, the total number of nodes in the tree is 2^0 + 2^1 + 2^2 + ... + 2^(log n - 1) + 2^(log n) = 2^(log n + 1) - 1. This is equivalent to 2n - 1, where n is the number of locations registers.

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true or false. digital marketing most typically involves targeting a very broad segment of potential customers

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Digital marketing most typically involves targeting a very broad segment of potential customers False


Digital marketing involves targeting specific and relevant segments of potential customers through various online channels such as social media, search engines, email marketing, and more. This approach is known as targeted marketing and is based on data and insights that help businesses identify and reach their ideal audience.

Digital marketing is a strategic approach that businesses use to promote their products or services to potential customers through online channels. One of the key advantages of digital marketing is that it allows businesses to reach a highly targeted audience, rather than a broad one. For instance, businesses can target customers based on demographics, location, interests, behavior, and other criteria. By doing so, businesses can create highly personalized and relevant campaigns that resonate with their target audience. Targeted marketing is an effective way to increase the return on investment (ROI) of digital marketing campaigns. By targeting a specific audience, businesses can reduce wastage and optimize their spending. For instance, if a business wants to promote a new product to female customers aged between 25-34 years who live in New York City, they can use digital marketing tools to reach this audience specifically. This approach can help businesses to save money and generate better results than if they had targeted a broader segment of potential customers.

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by entering a project’s limiting factors into a project management software system, a manager can receive ________ recommendations.

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By entering a project's limiting factors into a project management software system, a manager can receive valuable recommendations to optimize project performance and address challenges.

The software's analytical capabilities analyze the identified constraints, such as resource limitations, budget constraints, time restrictions, or team availability. It then suggests appropriate solutions and strategies to mitigate risks and enhance productivity.

These recommendations enable the manager to make informed decisions, prioritize tasks, allocate resources efficiently, and adjust timelines to ensure successful project completion.

By leveraging the software's insights, the manager can proactively address potential issues, foster collaboration among team members, and ultimately achieve project objectives more effectively.

Therefore, By entering a project’s limiting factors into a project management software system, a manager can receive valuable recommendations.

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another name for relevant cost is unavoidable cost. group startstrue or false

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False. Another name for relevant cost is differential cost. Unavoidable cost refers to expenses that cannot be avoided regardless of the decision taken by the company. These costs are often fixed and do not vary with the level of production or the decision being made. Examples of unavoidable costs include rent, salaries of key employees, and property taxes.

On the other hand, relevant costs are the costs that are directly affected by a particular decision. They are costs that will be incurred only if a particular decision is made. Relevant costs include variable costs, opportunity costs, and sunk costs. Variable costs are those that vary with the level of production or the decision being made.

Opportunity costs refer to the benefits that will be forgone if a particular decision is taken. Sunk costs, on the other hand, are costs that have already been incurred and cannot be recovered.

In summary, relevant costs are those costs that are directly affected by a particular decision, while unavoidable costs are expenses that cannot be avoided regardless of the decision taken. Therefore, it is important for managers to distinguish between these two types of costs when making decisions.

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False. Another name for relevant cost is differential cost. Relevant costs are those costs that are directly associated with a particular decision and will differ between the options being considered. They are future costs that are not already sunk and cannot be recovered.

For example, if a company is considering whether to make or buy a product, the relevant costs would include the cost of producing the product in-house versus the cost of purchasing it from a supplier.

Unavoidable costs, on the other hand, are costs that must be incurred regardless of the decision being made. These costs are not relevant to the decision and will not differ between the options being considered. Examples of unavoidable costs include rent, insurance, and salaries.

It is important to identify and consider relevant costs when making decisions because they can have a significant impact on the profitability of the decision. By understanding which costs are relevant, managers can make informed decisions that will maximize profits and minimize losses.

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Vaughn Church Furniture manufactures custom pews, altars, and pulpits for churches across the southern United States. Since each order is unique, Vaughn uses a job order costing system. During the month of June, Vaughn worked on orders for three churches: Faith Church, Grace Church, and Hope Church. Production on the Faith and Grace orders began in May, and the Faith job was completed in June. Production on the Hope order began in June and was incomplete at the end of the month. Vaughn applies overhead to each job based on machine hours. Prior to the year, managers had estimated manufacturing overhead at $693,000, along with 21,000 machine hours. Additional cost information related to the three orders is as follows:

Answers

Vaughn Church Furniture specializes in manufacturing custom altars, pews, and pulpits for churches throughout the southern United States.

Each order is unique, so the business uses a job order costing system. Vaughn worked on orders for three different churches in June: Faith Church, Grace Church, and Hope Church. Overhead is applied to each job based on machine hours, and Vaughn Church Furniture has estimated manufacturing overhead at $693,000 and 21,000 machine hours prior to the year.Additional cost information related to the three orders is as follows:  Cost Information Faith Church Grace Church Hope Church Direct materials$5,400$16,200$9,000Direct labor$2,880$5,760$4,800Machine hours (MH)9603,8402,400  

The predetermined overhead rate is calculated by dividing the estimated manufacturing overhead cost by the estimated machine hours for the year. Therefore, the predetermined overhead rate is $33 per machine hour. The total manufacturing overhead applied to each job is determined by multiplying the predetermined overhead rate by the actual machine hours required for each job.Faith ChurchGrace Church Hope Church Total Machine hours9603,8402,4007,200Manufacturing overhead applied$31,680$126,720$79,200$237,600

In summary, Vaughn Church Furniture, which specializes in producing custom furniture for churches, utilizes a job order costing system. They worked on three orders in June, which are Faith Church, Grace Church, and Hope Church. Before the year, Vaughn Church Furniture estimated their manufacturing overhead at $693,000 and 21,000 machine hours. To allocate overhead to each job, they applied a predetermined overhead rate of $33 per machine hour.

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.....Water from the Mississippi river is an example ofA. static resource.B. a renewable natural resource.C. a nonrenewable natural resource.D. capital.

Answers

Water from the Mississippi river is an example of a renewable natural resource. It is considered renewable because it is replenished by rainfall and other sources of precipitation, and the river's flow is sustained by a combination of natural forces such as gravity, evaporation, and precipitation.

This means that, as long as these natural processes continue, the Mississippi river will continue to provide water as a resource.

Renewable natural resources are those that can be replenished over time, either through natural processes or through human management practices. They include things like forests, fish populations, and groundwater.

Unlike nonrenewable natural resources, such as fossil fuels, which are finite and will eventually run out, renewable resources can be managed sustainably, allowing us to use them while ensuring their availability for future generations.

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If a natural resource is extracted and not sold, which of the following accounts are debited and credited?
a. Debit cost of goods sold and credit inventory
b. Debit depletion expense and credit accumulated depletion
c. Debit inventory and credit natural resource
d. Debit accumulated depletion and credit natural resources

Answers

If a natural resource is extracted and not sold, the accounts that are debited and credited are: d. Debit accumulated depletion and credit natural resources.

When a natural resource is extracted but not sold, it is considered a depletion expense. Depletion is the process of allocating the cost of natural resources over their useful life. The depletion expense is debited to the accumulated depletion account, which is a contra asset account that reduces the value of the natural resource. The natural resource account is credited for the amount of the depletion expense.

When a natural resource is extracted, it is added to the inventory account as an asset. At the same time, the natural resource account is credited to reflect the decrease in the resource's value. This accurately represents the change in the company's assets due to the extraction of the natural resource.

Therefore, the correct answer is option d. Debit accumulated depletion and credit natural resources.

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You are offered an expensive vacation opportunity in exchange for a contractor’s services. What do you do?
A You request the service of the contractor.
B You never ask for or provide gifts in response to a request.
C You get out an atlas and decide where you want to travel.

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When faced with an expensive vacation opportunity in exchange for a contractor's services, the most appropriate response is A: You request the service of the contractor.

Accepting gifts or incentives may also compromise objectivity and impact decision-making abilities. This choice promotes ethical behavior and prevents conflicts of interest or perceptions of impropriety. By avoiding the exchange of gifts or favors and requesting the service of the contractor, you maintain a professional relationship with the contractor and ensure that decisions are based on merit and fairness rather than personal gain or favoritism.

Therefore, it is advisable to never ask for or provide gifts in response to a request. Instead, focus on the contractor's work and negotiate fair and ethical compensation for their services. It's essential to prioritize ethical standards to maintain a positive and trustworthy reputation.

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the four risk management methods (presented in the text) include risk , risk , risk and risk .

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In risk management, there are four primary methods to identify, assess, and mitigate risks. These methods are risk avoidance, risk transfer, risk reduction, and risk acceptance.



Risk avoidance involves completely avoiding the activity or situation that presents a potential risk. This may be the most effective method for managing risks, but it may also limit opportunities for growth and innovation.
Risk transfer involves shifting the risk to another party, such as through insurance or contracts. This can help reduce the impact of a risk, but it does not eliminate it entirely.
Risk reduction involves taking steps to mitigate the risk, such as implementing safety procedures or investing in technology. This can help minimize the impact of a risk, but it may not eliminate it entirely.
Risk acceptance involves acknowledging the risk and deciding to proceed with the activity or situation despite the potential consequences. This method may be appropriate when the potential benefits outweigh the risks.
Overall, effective risk management requires a combination of these methods, as well as ongoing assessment and adaptation to changing circumstances. By implementing a comprehensive risk management plan, organizations can better protect themselves from potential harm and ensure long-term success.

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Calculate the intrinsic enterprise value using the average of terminal values derived from the EV/EBITDA multiple and perpetual growth methods.
Review Later
387,294
451,512
485,416
421,684

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The answer is,  the intrinsic enterprise value would be  436,598.

How to find?To calculate the intrinsic enterprise value using the average of terminal values derived from the EV/EBITDA multiple and perpetual growth methods, you would first determine the terminal values for each method. The EV/EBITDA multiple method calculates the terminal value by multiplying the EBITDA for the final year of the projection period by the selected EV/EBITDA multiple. The perpetual growth method calculates the terminal value by dividing the final year's free cash flow by the discount rate minus the perpetual growth rate.

Once you have both terminal values, you would then take the average of the two to arrive at the intrinsic enterprise value. In this case, the intrinsic enterprise value would be (451,512 + 421,684)/2 = 436,598.

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if disposable income is $400 billion, autonomous consumption is $60 billion, and mpc is 0.8, what is the level of saving? a. $210 billion. b. $380 billion. c. $20 billion. d. $590 billion.

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The level of saving is $20 billion, which corresponds to option c. $20 billion.

To find the level of saving, we need to first calculate the total consumption using the disposable income, autonomous consumption, and MPC.

Total Consumption = Autonomous Consumption + (MPC × Disposable Income)
Total Consumption = $60 billion + (0.8 × $400 billion)
Total Consumption = $60 billion + $320 billion
Total Consumption = $380 billion

Next, we will find the level of saving using disposable income and total consumption.

Saving = Disposable Income - Total Consumption
Saving = $400 billion - $380 billion
Saving = $20 billion

So, the level of saving is $20 billion, which corresponds to option c. $20 billion.

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FILL IN THE BLANK Hernan helps the company managers compare the performance of their employees to general employee performance standards. This is known as ______.

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Hernan's role in comparing the performance of company employees to general performance standards is known as performance management. This process involves assessing the performance of employees, identifying areas where they are excelling, and areas that need improvement. Performance management includes setting goals for employees and providing them with feedback on their progress towards meeting those goals.

One of the key benefits of performance management is that it helps organizations to identify their top performers and reward them accordingly. By setting clear expectations and measuring performance against established standards, companies can ensure that employees are being held accountable for their work. Additionally, performance management can help to identify areas where training and development opportunities are needed.
Hernan's role in this process is critical, as he is responsible for ensuring that managers are able to accurately compare the performance of their employees to established standards. He must also ensure that the performance data being collected is accurate and meaningful, so that managers can make informed decisions about how to improve employee performance.Overall, performance management is a critical component of any organization's human resources strategy. By providing employees with clear expectations, feedback, and opportunities for development, companies can ensure that they are able to attract and retain top talent.

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the estimated change in mean salary (in thousands of dollars) as a result of spending an extra hour per day studying is 1) $979.5. O2) $0.9795. 3) $335.0473 4) -1.8940.

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The estimated change in mean salary (in thousands of dollars) as a result of spending an extra hour per day studying is $0.9795.

This estimate is calculated by dividing the coefficient for studying (which is 0.0009795) by 1,000. It means that for every extra hour spent studying, the average salary is expected to increase by $0.9795 thousand or approximately $979.5 per year. This estimate assumes that all other variables in the model are held constant and that there is a linear relationship between studying and salary. It is important to note that this estimate may not hold true for every individual and that other factors may influence the relationship between studying and salary.

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a preferred stock from duquesne light company (dqupra) pays $3.55 in annual dividends. if the required return on the preferred stock is 6.7 percent, what’s the value of the stock? (round yo

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The value of the preferred stock from Duquesne Light Company (DQUPRA) is approximately $52.985

To calculate the value of the preferred stock from Duquesne Light Company (DQUPRA) that pays $3.55 in annual dividends with a required return of 6.7 percent, we can use the dividend discount model (DDM) for preferred stocks. The DDM is a valuation model that determines the present value of a stock based on its expected future dividends.
1. Determine the annual dividend (D): In this case, the annual dividend is $3.55.
2. Determine the required return (R): The required return is 6.7 percent, which we can express as a decimal (0.067).
3. Use the DDM formula for preferred stocks: Value of the preferred stock (P) = D / R


Now, plug in the given values:
P = $3.55 / 0.067
By solving the equation, we get the value of the preferred stock:
P = $52.985
Thus, the value of the preferred stock from Duquesne Light Company (DQUPRA) is approximately $52.985 when rounded to the third decimal place.

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based on what you have learned about portionpac, what do you think the owners would claim to be the most important features of doing business with integrity? do you agree? why or why not?

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PortionPac's commitment to environmental responsibility and sustainability is a testament to the company's dedication to conducting business in an ethical and responsible manner.

I agree with the owners' claim that honesty, transparency, and accountability are crucial components of doing business with integrity. A company that operates with integrity is not only ethical but also trustworthy, which can help establish long-term relationships with customers, suppliers, and employees.

Honesty is an essential feature of business integrity because it builds trust between a company and its stakeholders. By being transparent and honest in their operations, PortionPac is able to maintain a high level of trust with its customers and suppliers. Additionally, accountability is necessary to ensure that companies remain transparent and honest in their operations.

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The Crash Davis Driving School has an ROE of 15.3 percent and a payout ratio of 52 percent.What is its sustainable growth rate? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)Sustainable growth rate %

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The sustainable growth rate of the Crash Davis Driving School is 7.34%.
To calculate the sustainable growth rate, we can use the formula:
Sustainable Growth Rate = ROE x (1 - Payout Ratio)
Plugging in the given values:
Sustainable Growth Rate = 0.153 x (1 - 0.52)
Sustainable Growth Rate = 0.0734 or 7.34%
Therefore, the sustainable growth rate of the Crash Davis Driving School is 7.34%.


To calculate the sustainable growth rate for Crash Davis Driving School, we'll need to use the following formula:
Sustainable Growth Rate (SGR) = ROE × (1 - Payout Ratio)
Here, ROE (Return on Equity) is 15.3% or 0.153, and the Payout Ratio is 52% or 0.52.
SGR = 0.153 × (1 - 0.52)
SGR = 0.153 × 0.48
SGR = 0.07344

To express the result as a percentage, we multiply by 100:
SGR = 0.07344 × 100 = 7.34%
The sustainable growth rate for Crash Davis Driving School is 7.34%.

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You go to the gas station and see that the price of gasoline is unchanged. Can you use this observation to determine that the economy is not experiencing inflation? The price of gas does not tell you enough about inflation. Measurements of core inflation, which is the main gauge of inflation for consumers, exclude energy prices. does not tell you enough about inflation. Inflation is an increase in the average price level, and although gas prices may not have risen, prices of most goods and services may have. tells you enough about inflation. Since gas takes up a huge portion of consumers' budgets, gas prices are weighted heavily in the CPI. Thus, changes in gas prices invariably correspond to changes in the overall price level. tells you enough about inflation. Gas prices are "leading" prices—that is, they move to new levels in advance of other prices.

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The correct statement is: The price of gas does not tell you enough about inflation. Measurements of core inflation, which is the main gauge of inflation for consumers, exclude energy prices.

While gas prices can be an indicator of inflation, they are not sufficient on their own to determine the overall inflationary trends in the economy. Inflation refers to a general increase in the average price level across a wide range of goods and services, not just gas prices. Core inflation measures, which exclude volatile components such as energy and food prices, provide a more comprehensive assessment of inflationary pressures.

Gas prices can be influenced by various factors such as supply and demand dynamics, geopolitical events, and seasonal fluctuations. Therefore, changes in gas prices alone do not provide a complete picture of inflationary trends in the economy.

To assess inflation, it is important to consider a broader range of price indices, such as the Consumer Price Index (CPI), which tracks changes in the prices of a basket of goods and services representative of consumer spending patterns.

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