Account analysis is a method used by businesses to understand and analyze their costs. It involves a detailed analysis of the cost behavior, which is based on an industrial engineer's evaluation.
The purpose of the analysis is to determine how a business's costs will change based on changes in activity levels or other factors.
In this process, an industrial engineer examines the business's operations and activities to determine what activities are driving the costs. They also evaluate the nature of the costs, whether they are fixed or variable, to help determine how changes in activity levels will affect the costs.
Once the cost behavior has been identified, the business can use this information to create a budget or forecast. This information is also useful in decision-making processes, such as when deciding to expand operations or when negotiating contracts with suppliers.
Overall, account analysis is an essential tool for businesses that want to understand their costs and make informed decisions. By working with industrial engineers to identify cost behavior, businesses can better plan for the future and stay competitive in their industry.
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What conditions would affect how much people would use your business?
The business is and Ice Cream Shop.
Answer:
restaurant
like pandemic all small restaurant is closed the business is bankcrap
what do limited partners in a business give up ? why ?
Answer:In return for giving up management power, limited partners get the benefit of protection from personal liability. This means that a limited partner can't be forced to pay off business debts or claims with personal assets. A limited partner, however, can lose his or her financial investment in the business.
Explanation:
The different fabrics preferred by customers
anyone know how to do these economic credit score problems??
Answer:
please share the question nicely fristy
Explanation:
if you were to look at the cpi calculations based from 1984-1986, what of the following goods would likely be left out of that cpi calculation?
Based on the question, if we were to look at the Consumer Price Index (CPI) calculations specifically from 1984-1986, there are several goods that might be left out of that CPI calculation. The CPI is a measure of the average change over time in the prices paid by urban consumers for a market basket of consumer goods and services.
During the specified time period, it is important to consider that the CPI calculation may not include certain goods for various reasons. Here are a few possible examples:
1. New products: If new goods were introduced during that time period, they might not have been included in the CPI calculation yet. The CPI calculation typically includes a fixed basket of goods and services, and new items may take time to be included.
2. Discontinued products: Similarly, if certain goods were discontinued or became less popular during that time, they might have been excluded from the CPI calculation. This could happen if a specific product was no longer widely available or relevant to the average urban consumer.
3. Changes in consumption patterns: The CPI calculation aims to reflect the purchasing habits of urban consumers. If there were significant changes in consumption patterns during 1984-1986, some goods that were no longer commonly purchased might have been left out of the CPI calculation.
4. Geographical variations: The CPI calculation focuses on urban consumers as a whole, but it may not take into account regional or local variations. If there were specific goods that were more prevalent in certain regions but not in the urban areas as a whole, they might not be included in the CPI calculation.
It's important to note that the specific goods left out of the CPI calculation from 1984-1986 would depend on the specific circumstances and factors during that time period. These examples highlight some general possibilities, but the actual goods excluded can vary.
Overall, the CPI calculation aims to capture the average change in prices of goods and services over time, but it may not include every single item or account for all individual circumstances.
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Tracing shipping documents to pre-numbered sales invoices provides evidence that A. No duplicate shipments or billings occurred. B. Shipments to customers were properly invoiced. C. All goods ordered by customers were shipped. D. All pre-numbered sales invoices were accounted for.
Tracing shipping documents to pre-numbered sales invoices provides evidence that A) no duplicate shipments or billings occurred.
A pre-numbered sales invoice is a billing document that includes a series of sequential numbers to help organizations keep track of them. Organizations use these documents to keep track of orders, shipments, and payments by assigning unique invoice numbers to each document.
A shipping document is a form that companies fill out when they ship products to customers. It specifies the name and address of the receiver, as well as the type and quantity of products, the carrier's name, and other information. It functions as a receipt of goods received by the customer.
To confirm that no duplicate shipments or billings occurred, companies must trace shipping documents to pre-numbered sales invoices. This helps to ensure that goods sent to customers are correctly invoiced and that pre-numbered sales invoices are accounted for, indicating that all goods ordered by customers were shipped. Additionally, it helps to identify errors that may have been made throughout the shipping and billing process. As a result, it assists businesses in identifying potential areas for improvement and ensuring that their operations run smoothly.
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home depot is interested in knowing how its efforts to act in a socially responsible manner through its habitat for humanity and disaster relief efforts have affected stakeholders' views of the company. home depot should conduct a(n)
Home Depot should conduct a stakeholder perception audit to assess the impact of its socially responsible efforts on stakeholders' views of the company.
In order to understand how different stakeholders, such as customers, employees, investors, and community members view the business and its efforts to act responsibly, a stakeholder perception audit involves gathering feedback and opinions from a variety of stakeholders. Surveys, focus groups, interviews, and other methods of information gathering can be used to accomplish this.
Home Depot can gain important insights into how its socially responsible efforts are being perceived by various stakeholders and how these efforts may be impacting their attitudes toward the company by conducting a stakeholder perception audit. The audit's findings can help Home Depot pinpoint areas for development and create plans for enhancing its standing and connections with stakeholders.
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You have decided to form a study group for your Study Skills class. How should you decide who will be in the group?
Answer:
figure out who has the skilles needed to join
Explanation:
when you are in a study group you have to have a set of skilles that benefit others and some other ways, the way to do this is print out aplications and have them fill out what they can contribute and when they get turned in read them.
Answer:
when you are in a study group you have to have a set of skilles that benefit others and some other ways, the way to do this is print out aplications and have them fill out what they can contribute and when they get turned in read them.
which type of organization might have three related divisions and one unrelated division and uses a design that is a cross between an m-form and an h-form? a.hybrid b.divisional c.conglomerate d.functional
The correct option is hybrid.
What is a hybrid organization?A hybrid organizational structure combines the best elements of both functional and divisional structures to create a more flexible organization. In a hybrid organization, there are fewer levels of management, allowing for faster communication and decision-making between teams and executives. The primary advantages of a hybrid structure are that it can help you align your business strategy with your organizational structure and give you greater control over your business units.
A hybrid organizational structure is also more likely to have three connected divisions and one separate division. As a result, the hybrid organizational structure is a cross between the M-form and the H-form structures.
Types of organizational structures
Organizations can be categorized into four types of organizational structures. They are:
Functional: Organizations that follow a functional structure organize themselves according to the type of work they do or their functions. All employees who perform similar functions work together, regardless of their position in the hierarchy. These organizations tend to have a clear hierarchy, and communication moves up and down the chain of command with little interaction between departments.Divisional: Organizations that follow a divisional structure organize themselves according to their products, customers, or geography. Each division is in charge of a distinct market segment and has its own set of functions, such as human resources, finance, and sales.Conglomerate: An organization that follows a conglomerate structure is a collection of independent companies that operate under a single corporate umbrella. The businesses are usually unrelated and may be located in a variety of geographic locations. Because each business is distinct, they are usually run independently of one another.Hybrid: A hybrid structure combines the best elements of both functional and divisional structures to create a more flexible organization. In a hybrid organization, there are fewer levels of management, allowing for faster communication and decision-making between teams and executives. The primary advantages of a hybrid structure are that it can help you align your business strategy with your organizational structure and give you greater control over your business units.See more about hybrid organizational in:
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Pay-mor convenience stores, inc. , is a franchisor. Randy operates a pay-mor franchise. Sam is one of randy's employees. As a franchisor, if pay-mor controls the day-to-day operations of the business to a significant degree, it may be liable for tortious acts by
Yes, if Pay-Mor controls the day-to-day operations of Randy's franchise to a significant degree, it may be liable for tortious acts committed by Sam, Randy's employee.
As a franchisor, Pay-Mor may have certain legal responsibilities and potential liabilities for the actions of its franchisees and their employees. Whether Pay-Mor can be held liable for tortious acts by Sam, Randy's employee, depends on the level of control and involvement Pay-Mor has in the day-to-day operations of the franchise.
If Pay-Mor exercises significant control over the operations, including policies, procedures, employee training, and quality control, it could be deemed to have a level of control that makes it responsible for the actions of franchisees and their employees. This concept is known as vicarious liability or agency liability.
Under the legal doctrine of respondeat superior, an employer or franchisor can be held responsible for the wrongful actions committed by its employees or franchisees in the course of their employment or franchise relationship. This doctrine applies when the employee or franchisee is acting within the scope of their employment or franchise duties.
However, the extent of control required to establish liability can vary depending on the specific circumstances and jurisdiction. Courts will examine factors such as the level of control exercised by the franchisor, the extent of control over day-to-day operations, the degree of supervision, and the overall relationship between the franchisor and franchisee.
If Pay-Mor exercises significant control over Randy's franchise and has the ability to direct and supervise the actions of Randy and his employees, there is a higher likelihood that Pay-Mor could be held liable for tortious acts committed by Sam. It is important for franchisors to establish clear guidelines, policies, and training programs to minimize the risk of such liability and ensure that franchisees and their employees act in accordance with applicable laws and regulations.
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Name two types of domestic sewing machine
Answer:
Manual. Manual sewing machines are run by pedaling and therefore, no electricity or battery is required to run them. ...
Electronic. These machines have a single motor that runs on electricity
Explanation:
the difference between the legal reserve of a whole life policy and the face amount of insurance is the net amount at risk. dividend accumulations. cash value. premium.
The net amount at risk is determined by subtracting the legal reserve from the face amount of a whole life insurance policy.
How is the net amount of risk determined?Death Benefit less your Accumulation Value is the Net Amount at Risk (NAR). Net Premium Payment is the premium payment minus any necessary fees. Net Return: Gross Annual Return less Fund Management Fees and Expenses and Mortality & Expense Risk Fee.
How is the term insurance net premium calculated?The expected present value (PV) of an insurance policy's benefits less the anticipated present value (PV) of future premiums is used to determine net premium, an accounting term used in the insurance sector. Future costs related to keeping the insurance policy in force are not factored into the net premium calculation.
How are legal reserves determined?Merely dividing the amount of cash a bank must keep in reserve by the sum of money it holds on deposit yields the required reserve ratio. For instance, if a bank had to hold $500,000 in reserves along with its $10 million in deposits, the minimum reserve ratio would be 1/20, or 5%.
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which sector require joint or collaborative works in our communities
Answer:
Collaborative working can last for a fixed length of time or can form a permanent arrangement. What these options have in common is that they involve some sort of exchange, for mutual advantage, that ultimately benefits end users.
Types of collaborative working
Separate organisations maintain their independence, but work jointly on some activities or functions
Organisations with resources or expertise offer assistance to other organisations, eg a large national organisation working with a small local group
A new organisation to do joint work on some activities or functions
A group structure where a 'parent' organisation governs a group of 'subsidiary' organisations
Merger to form a new organisation working as one body on all activities
Explanation:
when physicians, hospitals, and other health care providers contract with one or more hmos or directly with employers to provide care, it is called a(n)
when physicians, hospitals, and other health care providers contract with one or more hmos or directly with employers to provide care, it is called a physician-hospital organization.
In a health maintenance organisation HMO quizlet, the primary care provider is referred to as what?All managed care plans, including health maintenance organisations (HMOs), preferred provider organisations (PPOs), and point-of-service (POS) plans, provide their members with a full range of medical services. A primary care physician (PCP) is a medical professional who oversees all of the care for an HMO member.
A PHO is what?A physician-hospital organization (PHO) is a business company created by hospitals and doctors that enables them to collaborate to pursue shared goals. For instance, a PHO can function as a single entity to create comprehensive health services agreements with payers and managed care organisations.
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What are the effects on U.S. imports and exports when the U.S. experiences economic growth stronger than its major trading partners
Answer:
Imports will increase
Explanation:
Exports provide money into the system, increasing the GDP of the exporting country. If a country imports items, it does so from outside manufacturers. The money that is spent on imports departs the economy, lowering the GDP of the importing country.
Imports will rise if the United States' economic growth outpaces that of its main trade partners.
All things being equal, when producers sell goods for a lower price, they make:
A. The same amount of money.
B. Less Money.
C. As much money as the law allows.
D. More money.
Answer:
B) Less Money.
Explanation:
Producers will make less money because they are selling a product for less.
definition of parternship
Answer:
A partnership is an arrangement where parties, known as business partners, agree to cooperate to advance their mutual interests. The partners in a partnership may be individuals, businesses, interest-based organizations, schools, governments or combinations
Canners Company uses weighted-average costing. Beginning work in process inventory had $3,650 of material costs. During the period, $5,000 of materials and $9,250 in conversion costs were added. If there are 250 equivalent units of production for materials, the cost per equivalent unit for materials is ______.
Answer:
the cost per equivalent unit for materials is $34.60
Explanation:
The computation of the cost per equivalent unit for materials is shown below:
= (Beginning work in inventory + material added) ÷ material equivalent unit of production
= ($3,650 + $5,000) ÷ 250 units
= $34.60
Hence, the cost per equivalent unit for materials is $34.60
The same should be considered and relevant
Discretionary income might be used to buy which items?
Answer: Movie Tickets
Explanation:
PLEASE HELP ME!!!!!
Which of the following is a physical
printout of a document in a financial or insurance company's database as a
back up to electronic storage?
A. hardcopy
B. pretext
C. webcopy
Answer:
Pretext
Explanation:
Traditionally, boards have tried to control CEO performance mainly through:
Traditionally, boards have tried to control CEO performance mainly through two primary methods: executive compensation and board oversight.
Executive compensation is one way that boards attempt to influence and control CEO performance. By designing compensation packages that align CEO incentives with the company's strategic goals and financial performance, boards aim to motivate CEOs to achieve desired outcomes. Compensation structures often include elements such as base salary, bonuses, stock options, and performance-based incentives. The intention is to reward CEOs for achieving predetermined targets and to hold them accountable for their performance.
Board oversight is another critical mechanism through which boards seek to control CEO performance. Boards are responsible for monitoring and evaluating the CEO's actions and decisions. They provide guidance, set expectations, and establish policies and procedures to ensure effective leadership and governance. Boards typically have committees, such as the compensation committee and audit committee, which play specific roles in overseeing CEO performance and providing feedback and guidance as needed.
By employing these methods, boards aim to maintain effective CEO performance, align executive incentives with organizational goals, and ensure accountability and oversight in the leadership of the company.
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Mary Walket, president of Rusco Products, considers $14,000 to be the minimum cash balance for operating purposes. As can be seen from the following statements, only $8,000 in cash was available at the end of 2009 . Because the company reported a large net income for the year, and also issued both bonds and common stock, the sharp decline in cash is puzzling to Ms. Walker.
The following additional information is available for the year 2009.a. Dividends totaling $9,000 were declared and paid in cash.b. Equipment was sold during the year for $8,000. The equipment had originally cost $20,000 and had accumulated depreciation of $ 10,000.c. The decrease in the Preferred Stock account is the result of a conversion of preferred stock into an equal dollar amount of common stock.d. Long-term investments that had cost $ 20,000 were sold during the year for $30,000.Required:Explain the major reasons for the decline in the company's cash balance.
1. Rusco Products
Statement of money Flows (Indirect Approach)
For the year ending New Year's Eve , 2015
Cash flows from operating activities:
Net income $30,000
Add (deduct) non cash effects on operating income
Depreciation expense $20,000 Movement in Account Depreciated account: - $50,000 - $10,000 = $40,000 - $60,000
Gain on sale of investment = $(10,000)
Loss on sale of kit = $2,000
Increase in deferred taxes = $8,000
Increase in assets = $(40,000 ) An increase should be deducted because it implies that not all sales were received in cash
Increase in inventory = $(50,000 ) a rise is deducted because cash was invested in inventory
Decrease in prepaid expenses = $4,000 A decrease are going to be added because no all expenses were paid in cash
Increase in accounts payable $63,000 a rise will be added as it implies that cash was generated from supplier credit
Decrease in accrued expenses $(9,000 ) A decrease is deducted as cash was spent to settle it
Net cash provided by operating activities $18,000
Cash flows from investing activities
Proceeds on sale of investment 30,000
Proceeds on sale of kit= 8,000
Purchase of kit = $(150,000 )
Movement in Plant and Equipment account: - $300,000 - $20,000 = $280,000 - $430,000
Net cash employed by investing activities =$(112,000)
Cash flows from financing activities:
Bonds issued 70,000
Proceeds from issuing stock = $20,000
Movement in common shares acc: - $250,000 + $(96,000 - $80,000 = 416,000) = $266,000 - $286,000
Dividends paid= $(9,000)
Net cash provided by financing activities = $81,000
Net decrease in cash =$(13,000)
Cash balance at January 1, 2015 = $21,000
Cash balance at New Year's Eve , 20= $8,000
2. The free income can be calculated from the cash flow statement like this:
Operating income =$18,000
Less: Capital expenditures =(112,000)
= Free income= $94,000
3. we will see from the cash flow statement that the company:
Managed to get a positive cash flow from operations despite the heavy investment in inventories and the increase in accounts receivable by increasing its trade credit.
The cash position declined though, due to the e purchase equipment es that was in excess of the amount raised from he bond issue.
Cash Flow Statement by the Indirect Method:
The income statement is one of the fundamental financial statements. In it, the state of the cash asset of a corporation is analyzed by reporting on how much cash was used y or provided by operating, investing, and financing activities.
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Oliveras Company had net credit sales during the year of $800,000 and cost of goods sold of $500,000. The balance in accounts receivable at the beginning of the year was $100,000, and the end of the year it was $150,000. What were the accounts receivable turnover and the average collection period in days? a. 6.4 and 57 days. b. 4.0 and 91.3 days. c. 5.3 and 68.9 days. d. 8.0 and 45.6 days.
Answer:
a. 6.4 and 57 days
Explanation:
The computation of the accounts receivable turnover and the average collection period in days is shown below;
The account receivable turnover is
= $800,000 ÷ ($100,000 + $150,000) ÷ 2
= 6.4 times
And, the average collection period is
= 365 days ÷ 6.4 times
= 57 days
Therefore the a option is correct
__________ can be described as the glue that holds communities together.
Social cohesion can be described as the glue that holds communities together.
Together is a word that signifies unity, collaboration, and a sense of collective action. It represents the power of individuals joining forces to achieve common goals, solve problems, and create positive change. When people come together, they can share ideas, resources, and skills, leading to innovation and progress. Together implies mutual support, empathy, and a willingness to work towards a common purpose. It fosters a sense of belonging, strengthens relationships, and promotes a sense of community. Whether it's in personal relationships, teamwork, or societal efforts, the concept of togetherness emphasizes the importance of cooperation, solidarity, and the understanding that we are stronger when united.
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Draw S Curve for Cumm. Demand when we have 2 seasonal patterns
in a year! Then, draw S curve for Cumm. Supply that can be accepted
by Operations, Marketing and Finance Departments!
S Curve for Cumulative Demand with Two Seasonal Patterns:
The S curve for cumulative demand with two seasonal patterns in a year would typically exhibit a repeating pattern that corresponds to the seasonal fluctuations in demand. It would have two peaks, representing the high-demand periods, and two troughs, representing the low-demand periods. The curve would start at a lower point, gradually rise to the first peak, decline to the first trough, rise again to the second peak, and finally decline to the second trough. This S-shaped pattern reflects the seasonal variations in demand throughout the year.
S Curve for Cumulative Supply Accepted by Operations, Marketing, and Finance Departments:
The S curve for cumulative supply accepted by Operations, Marketing, and Finance Departments represents the cumulative production or supply capacity that these departments consider feasible or viable. It would typically start at a lower level, indicating the initial production capacity, and gradually increase as the departments assess and approve the capacity expansion. The curve would exhibit a steady upward trend, reflecting the cumulative supply that meets the requirements and resources of the organization. However, it may not exhibit a distinct S shape like the demand curve, as the supply curve's shape would primarily depend on the organization's growth and capacity expansion decisions.
Please note that the actual shape and specific characteristics of these curves can vary based on the unique circumstances and seasonal patterns of each business or industry. It's important to consider the specific data, market dynamics, and variables when creating S curves for cumulative demand and supply.
For visual illustrations of S curves, I recommend using a spreadsheet or graphing software to plot the data points and connect them in the shape of an S curve. This will provide a more accurate representation of the cumulative demand and supply patterns in your specific scenario.
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the rule for the optimal use of any input states that a. when mrp is less than price, profit will increase when more of that resource is utilized. b. when mrp is greater than resource price, profit will increase when more of that resource is utilized. c. when mrp equals price, profit will increase when less of that resource is utilized. d. when mrp is greater than resource price, profit will increase when less of that resource is utilized. e. resources should be used only if mrp exceeds product price.
The correct statement for the rule of optimal resource use is: e. Resources should be used only if the Marginal Revenue Product (MRP) exceeds the resource price.
The Marginal Revenue Product (MRP) is the additional revenue generated by employing an additional unit of a resource, such as labor or capital. The resource price refers to the cost or price of acquiring and utilizing that resource.
To optimize resource use, it is most profitable to employ additional units of a resource only if the MRP, the additional revenue generated, exceeds the cost or price of acquiring that resource. If the MRP is higher than the resource price, employing more of that resource will increase profit. However, if the MRP is lower than the resource price, employing more of that resource would result in diminishing returns and lower profitability.
Therefore, the statement e. "Resources should be used only if MRP exceeds product price" accurately represents the rule for the optimal use of any input.
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Prior to 1990, the United States imposed a tax, known as a(n) ________, on automobiles imported from Mexico. Multiple Choice licensing fee tariff import quota embargo export quota
Prior to 1990, Mexico-origin automotive imports were subject to a tariff, which is a type of tax.
What is tax shortened?The definition of tax given by the Britannica Dictionary is: an amount of cash that a government imposes on citizens in proportion to their income, the worth of their land, etc., that is used fund the government's activities.
Why do we have to pay taxes?Taxes are used by governments to pay finance internal operations, infrastructure improvements, public health, education, and security. Certain common tax lingo can be confusing. Understanding what these mean will improve our comprehension of how taxes operate and are determined.
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What should you do before you approach a atm
Answer:
Try to use ATMs with which you are familiar. Choose well-lit, well-placed ATMs where you feel comfortable. If you need to use an ATM late at night, ask a friend to accompany you.
Before approaching the ATM, scan the surrounding area. Avoid the ATM altogether if it is too dark to see, isolated or looks unsafe. If there are bystanders loitering in the area, go to another machine or come back later.
Use your body to shield the screen and keypad before entering your PIN. Make sure other individuals in line stay a reasonable distance from you while you're performing your transaction.
You and your neighbors (about 100 people) would love to have a water fountain in the neighborhood park. Each of you values having the fountain at $10. The neighborhood association finds a construction firm that will build the fountain for $7,000. A hat is passed around for the contributions, but once the money is counted, there are only $3,000 collected.
Should the fountain be build?
What happened? Will the fountain be built?
Can the government help build the fountain? How?
The total cost of building the fountain is $7,000, but only $3,000 has been collected from the neighbors.
In this case, the fountain cannot be built solely based on the amount of money collected. There is a shortfall of $4,000.
There are a few possible scenarios and solutions to consider:
1. Private Funding: The neighborhood association could explore other options for raising the remaining $4,000. This could involve reaching out to individual neighbors or businesses who may be willing to contribute to the project. By securing additional funds, the fountain could be built.
2. Delayed Construction: If the neighborhood association decides to wait until more funds are collected, they could postpone the construction of the fountain until the full amount is raised. This might involve ongoing fundraising efforts or saving money over time.
3. Government Assistance: It is possible to seek government assistance in building the fountain. This would depend on the specific policies and programs available in the area. The neighborhood association could reach out to local government authorities, such as the city council or parks department, to inquire about potential grants or funding opportunities for community projects like the fountain. If the government is willing to support the project, it could provide the necessary funds to bridge the funding gap and enable the construction of the fountain.
Ultimately, whether the fountain can be built depends on the actions taken by the neighborhood association, the willingness of the community to contribute, and the availability of government assistance. By exploring different funding options and seeking support from the government, the neighborhood association may be able to make the fountain a reality.
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If a stock has a beta of 4, what can one infer about the expectations of that stock relative to the market?.
What happens if the beta of a stock is 1?
If a stock has a beta of 1, it will move in the same direction as the index, by about the same amount. An index fund that mirrors the S&P 500 will have a beta close to 1.