Conceptually, the Weighted Average Cost of Capital is defined as? A) The market risk of a firm's cost of equity. B) The market value of the firm's cost of capital. C) The weighted value of the firm's cost of equity less cost of capital. D) The weighted average of the firm's equity and debt cost of capital which should equal the return that is available on other investments with similar risks. E) None of the Above.

Answers

Answer 1

The correct answer to the given question is option D) .The weighted average of the firm's equity and debt cost of capital which should equal the return that is available on other investments with similar risks.Weighted Average Cost of Capital (WACC) is the blended average cost of financing the activities of an organization, such as raising capital for a project, expansion, or working capital management.

A firm's WACC is a measure of its cost of capital that takes into account the risk and cost of each type of capital financing it employs. WACC = E / V * Re + D / V * Rd * (1 - T)

where, E = Market Value of Equity

D = Market Value of Debt V = E + D

Re = Cost of Equity

Rd = Cost of Debt

T = Tax Rate

The Weighted Average Cost of Capital is defined as the weighted average of the firm's equity and debt cost of capital which should equal the return that is available on other investments with similar risks.

The formula for the WACC is, WACC = E / V * Re + D / V * Rd * (1 - T), where E is the market value of equity, D is the market value of debt, Re is the cost of equity, Rd is the cost of debt, and T is the tax rate.In conclusion, the Weighted Average Cost of Capital (WACC) is a financial metric that measures a firm's cost of capital by blending the costs of its various types of capital.

It considers the firm's cost of equity and debt and their proportion in the capital structure while determining the overall cost of financing.

Therefore, the correct answer to the given question is option D) .

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Related Questions

Which organization should a high school hospitality student consider joining to develop leadership skills and business knowledge?

American Culinary Federation
American Hotel & Lodging Association
Future Business Leaders of America
Resort Hotel Association

Answers

High school students can gain practical experience in entrepreneurship, business, and marketing through DECA. Its objective is to provide upcoming leaders with the skills necessary for careers in lucrative industries including marketing, management, hospitality, and finance. There are presently 177,000 DECA members in secondary schools.

Should I enlist in DECA?

You can gain an advantage over your rivals with the use of DECA's resources, expertise, and talents. A little bit of ease has been added to applying for internships, scholarships, jobs, and colleges. The fact that you are a member of DECA demonstrates that you are motivated, academically competent, community-minded, and career-focused—ready to take on your future.

In high school, is DECA a good idea?

One of the most well-known groups for high school students is DECA, which has more than 3,200 participating schools. Numerous graduates of its successful programs enjoy a stellar reputation.

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For the equation Y = a + bX, the objective of regression analysis is to:

estimate the variables Y and X.

all of these answers are correct.

estimate the parameters a and b.

fit a straight line through the data scatter in such a way that the sum of the squared errors is maximized.

Answers

The objective of regression analysis is to estimate the parameters a and b.

Regression analysis aims to estimate the relationship between two variables, typically denoted as Y (dependent variable) and X (independent variable), using the equation Y = a + bX. The parameters a and b represent the intercept and slope of the regression line,

By estimating these parameters, regression analysis allows us to model the relationship between the variables and make predictions or draw conclusions based on the data.

While it is true that regression analysis involves estimating the variables Y and X, this statement is too broad as it does not specifically address the objective of regression analysis. Additionally, the statement about fitting a straight line through the data scatter in such a way that the sum of the squared errors is maximized is incorrect. The objective of regression analysis is to minimize the sum of squared errors, also known as the residual sum of squares, to find the best-fitting line that represents the relationship between the variables.Certainly! Here's a more detailed explanation:

Regression analysis is a statistical technique used to understand and quantify the relationship between variables. In the equation Y = a + bX, Y represents the dependent variable, X represents the independent variable, and a and b are the parameters that need to be estimated.

The primary objective of regression analysis is to estimate the parameters a and b. These estimates help determine the intercept (a) and slope (b) of the regression line, which represents the relationship between the variables. The intercept indicates the value of Y when X is equal to zero, while the slope represents the change in Y corresponding to a unit change in X.

By estimating the parameters a and b, regression analysis allows us to make predictions about the dependent variable (Y) based on the independent variable (X). It helps us understand the nature and strength of the relationship between the variables, as well as quantify the impact of changes in X on Y.

While regression analysis does involve estimating the variables Y and X, that is not the primary objective. The focus is on estimating the parameters a and b to determine the best-fitting line that represents the relationship between the variables.

Regarding the statement about fitting a straight line through the data scatter in such a way that the sum of squared errors is maximized, that is incorrect. The objective of regression analysis is to minimize the sum of squared errors, also known as the residual sum of squares. The goal is to find the line that minimizes the discrepancy between the observed values of Y and the predicted values based on the regression equation.

In summary, the main objective of regression analysis is to estimate the parameters a and b, which represent the intercept and slope of the regression line, respectively. This estimation helps quantify the relationship between variables and enables predictions and insights based on the data.

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How can I use restorative practices to address and repair harm that I’ve caused, harm done to me, and/or harm done to others by someone other than myself?

This is for bullying

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Restorative practices are helpful when a person want to heal oneself from the trauma that is caused by others or by themselves by practicing peaceful mind techniques.

Many peaceful techniques include self introspection and deep knowledge of practices combined together that will ultimately lead to easy and lead to spiritual environment.

Restore practices have a great impact on ones life by someone or spiritual healer that help one to revamp and stop trying to choke oneself. This provide guarantee to heal from past and its experiences.

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14.Revenue in 240 room hotel $179.000. Total Expenses is $125.000. What is the GoPar? 15. a hotel has a total of 150 rooms, of which the average occupancy rate is 90%. The average cost for a room is $145 a night. A hotel wants to know its RevPAR so it can accurately assess its performance. 16. a hotel has a total of 150 rooms, of which the average occupancy rate is 91%. The average cost for a room is $119 a night. A hotel warts to know its RevPAR so it can accurately assess its performance. 17. a hotel has a total of 170 rooms, of which the average occupancy rate is 93%. The average cost for a room is $187 a night. A hotel wants to know its RevPAR so it can accurately assess its performance. 18: a hotel has a total of 180 rooms, of which the average occupancy rate is 87%. The average cost for a room is $130 a night. A hotel wants to know its RevPAR so it can accurately assess its performance. 19. a hotel has a total of 119 rooms, of which the average occupancy rate is 70%. The average cost for a room is $100 a night. A hotel wants to know its RevPAR so it can accurately assess its performance. 20. a hotel has a total of 100 rooms, of which the average occupancy rate is 78%. The average cost for a room is $100 a night. A hotel wants to know its RevPAR so it can accurately assess its performance.

Answers

The higher the RevPAR or GoPar, the better the hotel's financial performance. By understanding these metrics, hotels can make informed business decisions to improve their financial performance.

In the hotel industry, one of the most commonly used metrics is RevPAR, which is calculated by dividing a hotel's total revenue by its available rooms. It is an important measure of a hotel's financial health since it reveals how much money is being generated per room in the property. The following are the calculations for each of the given questions:

GoPar = (Revenue - Total Expenses) / Number of Rooms

GoPar = ($179,000 - $125,000) / 240

GoPar = $2,333.3315.

RevPAR = Average Daily Room Rate x Occupancy Rate

RevPAR = $145 x 0.9

RevPAR = $130.5016.

RevPAR = Average Daily Room Rate x Occupancy Rate

RevPAR = $119 x 0.91

RevPAR = $108.29917.

RevPAR = Average Daily Room Rate x Occupancy Rate

RevPAR = $187 x 0.93

RevPAR = $173.91018.

RevPAR = Average Daily Room Rate x Occupancy Rate

RevPAR = $130 x 0.87

RevPAR = $113.1019.

RevPAR = Average Daily Room Rate x Occupancy Rate

RevPAR = $100 x 0.7

RevPAR = $70.0020.

RevPAR = Average Daily Room Rate x Occupancy Rate

RevPAR = $100 x 0.78

RevPAR = $78.00

The higher the RevPAR or GoPar, the better the hotel's financial performance. By understanding these metrics, hotels can make informed business decisions to improve their financial performance.

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Why are so many Americans quitting their jobs recently?

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The high quits numbers are a reflection of what is perhaps the most worker-friendly climate in decades, as workers have the ability to sort through near-record levels of job postings, and many employers are hungry to hire. Many employers have moved to raise wages or offer generous signing bonuses to attract employees

Multiple factors. A lot of states with elevated quits are states with higher-than-average c*ovid cases, but a lot of it is due to work market stress

the form of bond issue in which the registrar of the company records ownership of each bond, with relevant payments made directly to the owner of record, is called

Answers

The Registered Form is the type of bond issue in which the company's registrar records ownership of each bond and makes relevant payments directly to the owner of record.

How does a registered form bond work?

A debt instrument known as a registered bond has the information of its bondholders recorded with the issuing party.Issuers ensure that they are paying the correct person the bond's coupon payments by archiving the owner's name, address, and other information.

What is the kind of bond gave by an organization?

A corporate bond is a type of debt security sold to investors by a company.The investor receives a predetermined number of interest payments at either a fixed or variable interest rate in exchange for the company receiving the necessary capital.

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Please help with all 3 bullet points
You have been invited to speak to a group of Managers at Paychex about increasing the business’s commitment to improved employee health benefits by increasing the opportunity to work remotely.
How will you appeal to their pathos?
How will you appeal to their ethos?
How will you appeal to their logos?

Answers

To appeal to the managers' pathos, I would emphasize the positive impact of remote work on employees' well-being, work-life balance and overall happiness.

How can remote work benefit employees' well-being and happiness?

As managers, we must recognize the profound influence of employee well-being on their productivity and loyalty. By increasing the opportunity of work remotely, we offer employees a better work-life balance and flexibility.

This lead to reduced stress levels, increased job satisfaction and improved mental health. Remote work allows employees to save commuting time, spend more quality time with their families and achieve a greater sense of control over their lives.

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How does shopping around for an automobile loan benefit you?

Answers

Answer:

Shopping around for an automobile loan benefits me from the interest that we are charged gets added to the amount we are borrowing.

explain why modern economics are becoming increasingly global

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societies, and cultures have become integrated through the global network of trade, communication, immigration, and transportation. These developments led to the advent of the global economy. (Btw can I have brainliest?)

the following list includes temporary accounts from the december 31 adjusted trial balance of emiko company. use these normal account balances to journalize closing entries.

Answers

Journalizing the closing entries from the December 31 Adjusted Trial Balance for Emiko Company using the temporary accounts is as follows:

Closing Journal Entries:

Debit Retained Earnings

Credit Dividends $33,000  

Debit Sales $529,000

Credit Income Summary $529,000

Debit Income Summary $17,500

Credit Sales returns and allowances $17,500  

Debit Income Summary $5,000

Credit Sales discounts $5,000  

Debit Income Summary $213,300

Credit Cost of goods sold $213,300  

Debit Income Summary $49,700

Credit Sales salaries expense $49,700  

Debit Income Summary $15,000

Credit Utilities expense $15,000  

Debit Income Summary $39,000

Credit Selling expenses $39,000  

Debit Income Summary $105,000

Credit Administrative expenses $105,000

What are closing entries?

Closing entries are the period's end journal entries to close temporary accounts to the income summary and the retained earnings.

Temporary accounts include revenues, expenses, net income or loss, and dividends.

The net result of the income summary is also closed to the retained earnings.

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Question Completion:

Dividends $33,000  

Sales $529,000

Sales returns and allowances $17,500  

Sales discounts $5,000  

Cost of goods sold $213,300  

Sales salaries expense $49,700  

Utilities expense $15,000  

Selling expenses $39,000  

Administrative expenses $105,000

Amari is currently in the process of handling a service breakdown with a customer. what type of messages should amari use to have the best chance of resolving the situation positively?

Answers

Amari should solve the issue of service breakdown by sending an apology letter/ message to the customer.

Service breakdown happens in every organization at one point of time when they are unable to meets the expectation of customers. So, basically service breakdown is when an organization's products or services are unable to meets the desired expectations of the customers.

In case of happening of service breakdown organization's first step must be to give an apology letter to the customers. A sincere and heartfelt apology letter should be given in a way that customer do not feel like it is a kind of formality but in a way that shows that whole of the organization mean it. The organization in some cases can also take back the ownership of the

These phrases can help you demonstrate your sincere apology with the customer:

We can imagine how frustrating that would be.""We understand. we'd be upset as well."We'll make things right for you.

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fifteen years ago a couple purchased a house for $190,000.00 by paying a 20% down payment and financing the remaining balance with a 30-year mortgage at 4.12% compounded monthly. (a) find the monthly payment for this loan.

Answers

According to the given information, The monthly payment for this loan is $735.86

For a loan with principal P, a monthly interest rate r, and a total number of payments T, we can use the following formula to determine the monthly payment: \(\frac{Pr}{1-(1+r)^-^T}\)

In this case, the borrowed amount is 190,000 × (1 - 20%) = 152,000. There are 360 payments total because of the 30-year term. The interest rate for the month is 4.12% / 12. With the use of the calculation, the monthly payment is: \(\frac{(152000)(4.12percentage/12)}{1-(1+4.12 percentage/12)^-^3^6^0}\) = 735.86

In order to maintain good standing with a credit card issuer, a borrower must make at least the minimum monthly payment on a revolving credit account each month.When compared to consumers who make more than the minimum payment each month, those who just make the minimum payment each month will end up paying more interest and taking longer to pay off their loans.As long as they are in good standing and have no delinquencies, revolving credit accounts let customers keep their balances open indefinitely.Non-revolving credit accounts pay the borrower a principal sum upon loan approval and demand that they repay the principal plus interest in accordance with a predetermined payment plan.

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Using the high-low method Paul owns a machine shop. In reviewing the shop's utility bills for the past 12 months, he found that the highest bill of $3,500 occurred in July when the machines worked 1,500 machine hours. The lowest utility bill of $2,900 occurred in November when the machines worked 650 machine hours. Requirements 1. Use the high-low method to calculate the variable cost per machine hour and the total fixed utility cost 2. Show the equation for determining the total utility cost for the machine shop. 3. If Paul anticipates using 900 machine hours in December, predict the shop's total utility bill using the equation from Requirement 2.

Answers

1. To calculate the variable cost per machine hour using the high-low method, Variable cost per machine hour = ($3,500 - $2,900) / (1,500 - 650) = $0.40 per machine hour.

Total fixed utility cost = $3,500 - ($0.40 x 1,500) = $2,900

2.Total utility cost = Total fixed utility cost + (Variable cost per machine hour x Number of machine hours)

3.Total utility cost = $2,900 + ($0.40 x 900) = $3,260

1. To calculate the variable cost per machine hour using the high-low method, we need to find the difference in total utility cost between the highest and lowest months, and divide it by the difference in machine hours between those months.

Variable cost per machine hour = (highest total utility cost - lowest total utility cost) / (highest machine hours - lowest machine hours)

Variable cost per machine hour = ($3,500 - $2,900) / (1,500 - 650) = $0.40 per machine hour

To find the total fixed utility cost, we can use the formula:

Total fixed utility cost = Total utility cost at highest point - (Variable cost per machine hour x Number of machine hours at highest point)

Total fixed utility cost = $3,500 - ($0.40 x 1,500) = $2,900

Therefore, the variable cost per machine hour is $0.40 and the total fixed utility cost is $2,900.

2. The equation for determining the total utility cost for the machine shop is:

Total utility cost = Total fixed utility cost + (Variable cost per machine hour x Number of machine hours)

3. If Paul anticipates using 900 machine hours in December, we can use the equation from requirement 2 to predict the shop's total utility bill:

Total utility cost = $2,900 + ($0.40 x 900) = $3,260

Therefore, Paul can expect a total utility bill of $3,260 for December if the shop uses 900 machine hours.

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What is one of the biggest telltale signs of a pyramid scheme?

Answers

Pyramid schemes posing as multi-level marketing businesses by claiming to have been in the business of selling goods to customers.

What is a pyramid scheme?

In a "pyramid" scheme, participants try to gain money purely by recruiting new members, typically if the recruiter guarantees a high return in a short amount of time.

There is no actual sale of merchandise or service; and. Fresh student recruitment is the main focus.

Instead of offering investments or making sales of goods, a pyramid scheme gathers members by promising income or services in exchange for bringing people into the plan.

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1. Your friend asks to borrow $50 and offers to pay you back with interest. What factors
would you consider in your decision to accept or decline their request?

Answers

The factors that you have to think about would before giving out the loan would be the following:

The loan periodThe ability to pay back the loanThe interest that is on the loanHow the money is to be returned.

What is a loan?

This is the term that is used to refer to an amount of money that would be given to a person that is the borrower by the lender for a period pf time and for them to pay back with interest.

To be able to determine if you are to give out a loan, you have to take the ability of the person to pay you back the amount as a fator.

Also you have to check the character of the person that you are to loan the money to.

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Most licensed architects are members of which association? A. ACSA B. AIA C. NAAB D. NCARB E. NVOB

Answers

Answer: It is B. AlA

Explanation:ALA is open to all architects and professions related to architecture. Our members hold individual memberships and specialize in all types of architecture.

Culinary Solutions Inc. manufactures cooking and baking equipment and has its base in the country of Vandevar. It has approximately 300 stores across the country and is already active in three foreign countries. It attempts to establish itself in the country of Balalaika, and uses its low-cost strategy to do so. However, due to the additional costs associated with training, coordinating across geographic distances, and other costs associated with doing business in an unfamiliar cultural and economic environment, Culinary Solutions Inc. incurs huge financial losses in Balalaika. In this scenario, Culinary Solutions Inc.'s failure to establish itself successfully in Balalaika occurs most likely because

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No lo sé pero ahora lo investigaré

Critique the following statement: “Safety is not important in offices or retail workplaces.”

Answers

Answer:

Safety is important in every workplace. Even in low risk work places, there are certain occupational hazards, like musculoskeletal disorders, including carpal tunnel syndrome and repetitive stress injuries.

Explanation:

The answer the site said after I took it

Answer:

Safety is important in every workplace. Even in low risk work places, there are certain occupational hazards, like musculoskeletal disorders, including carpal tunnel syndrome and repetitive stress injuries.

Explanation:

Sample answer; edge 2021

How can I become rich???

Answers

Explanation:

1, Don’t focus on a job, use the income from your job to invest to create different forms of income

2, Fastest way to get rich is to form a business

that's it :)

You can start a side business or go into a trade they are really high in demand because nobody wants to do them

Presented below is information related to Anderson Company for 2022.
Sales revenue
Cost of goods sold
Interest expense
Selling and administrative expenses
Loss from write-off of goodwill
Gain on the sale of investments
Loss due to flood damage
Loss on the disposition of the wholesale division
Loss on operations of the wholesale division
Dividends declared on ordinary shares
Dividends declared on preference shares


25,000,000
16,000,000
70,000
4,700,000
820,000
110,000
390,000
800,000
150,000
250,000
60,000

Anderson decided to discontinue its entire wholesale operations and to retain its manufacturing operations. On September 15, Anderson sold the wholesale operations to Rogers Company. During 2022, there were 500,000 ordinary shares outstanding all year. Prepare an income statement for the year ended 31 December 2022. Applicable tax rate is 30%.

Answers

The income statement for Anderson Company for the year ended December 31, 2022, is as follows:

Sales revenue: $25,000,000

Cost of goods sold: $16,000,000

Gross profit: $9,000,000

Operating expenses: $6,930,000

Operating income: $2,070,000

Gain on the sale of investments: $110,000

Income before tax: $2,180,000

Income tax expense: $654,000

Net income: $1,526,000

Dividends declared: $310,000

Net income after dividends: $1,216,000

To prepare the income statement for Anderson Company for the year ended December 31, 2022, we need to calculate the net income by deducting various expenses and losses from the sales revenue. Here is the income statement:

Income Statement for the Year Ended December 31, 2022

Sales revenue: $25,000,000

Cost of goods sold: $16,000,000

Gross profit: $25,000,000 - $16,000,000 = $9,000,000

Interest expense: $70,000

Selling and administrative expenses: $4,700,000

Loss from write-off of goodwill: $820,000

Loss due to flood damage: $390,000

Loss on the disposition of the wholesale division: $800,000

Loss on operations of the wholesale division: $150,000

Total expenses and losses: $70,000 + $4,700,000 + $820,000 + $390,000 + $800,000 + $150,000 = $6,930,000

Operating income: $9,000,000 - $6,930,000 = $2,070,000

Gain on the sale of investments: $110,000

Income before tax: $2,070,000 + $110,000 = $2,180,000

Income tax expense (30%): $2,180,000 × 0.30 = $654,000

Net income: $2,180,000 - $654,000 = $1,526,000

Dividends declared on ordinary shares: $250,000

Dividends declared on preference shares: $60,000

Total dividends: $250,000 + $60,000 = $310,000

Net income after dividends: $1,526,000 - $310,000 = $1,216,000

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True or false: The loss on the sale of a principal residence is classified as a deductible capital loss.

Answers

The answer is true not false

What is operations management and its role?

Answers

In its broadest sense, operations management is responsible for all aspects of creating goods and services. It manages resources such as materials, machines, technology, and people, and makes products and services that the marketplace wants.

At both large and small organizations, operations managers supervise, hire, and train employees, manage quality assurance programs, strategize process improvements, and more. Operations managers are ultimately responsible for maintaining and increasing the efficiency of a business, agency, or organization.

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RS company borrowed $70,000 on December 1st on a 6-month, 12% note. Which statement is true at December 31? a.) neither the note payable nor the interest payable is a current liability. b.) both the note payable and the interest payable are current liabilities. c.) the note payable is a current liability, but the interest payable is not. d.) the interest payable is a current liability, but the note payable is not.

Answers

b.) both the note payable and the interest payable are current liabilities.

This is because the principal amount of $70,000 (note payable) will be due within 6 months, which falls within the definition of a current liability.

Additionally, the interest payable for the 1-month period (December) is also a current liability, as it will need to be paid within the same accounting period.

A liability is considered current if it is due within one year or the operating cycle of a business, whichever is longer. In this case, the note payable is due within six months, making it a current liability.

Similarly, the interest payable for the one-month period is also due within the same accounting period, making it a current liability as well. Therefore, both the note payable and the interest payable are classified as current liabilities on the balance sheet.

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Unlike a printed product, online service information
can be instantaneously ___ by the provider.

Answers

Answer: bolt

Explanation:

Why Is The Originate-To-Distribute Business Model Subject To The Principal-Agent Problem? A. The More Volume The Broker Originates, The More He Or She Makes B. The Mortgage Broker Has Little Incentive To Ensure The Borrower Is Credit-Worthy, Since Loans Will Be Sold As Mortgage-Backed Securities C. Once The Mortgage Broker Earns His Or Her Fee, The Broker does not care if the borrower makes good on his payment
D. All of the above are correct

Answers

The more volume a mortgage broker generates, the more money he or she makes, and since loans will be marketed as mortgage-backed securities, the mortgage broker has little motivation to make sure the customer is creditworthy. Thus all of the above are correct.

Who are customers who are creditworthy?Your payback history and credit score are just two of the variables that define your creditworthiness. When calculating the likelihood of default, certain lending organisations additionally take your available assets and total liabilities into account.A creditor's or lender's assessment of a person's or organization's capacity to pay debts when they are due is known as creditworthiness. This evaluation also takes into account the individual's or company's anticipated future financial situation. If the business is confident that the consumer can make the payment on time, the customer is deemed creditworthy. It depends on a number of things, including income, payment history, credit score, unpaid debts, etc.

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A. The More Volume The Broker Originates, The More He Or She Makes

The originate-to-distribute business model is subject to the principal-agent problem because of the incentive structure it creates.

Specifically, the more volume the mortgage broker originates, the more he or she makes, giving them an incentive to originate more mortgages, regardless of the borrower's creditworthiness. Additionally, once the broker has earned his or her fee, they do not have an incentive to ensure the borrower makes good on their payments, as the loans will be sold as mortgage-backed securities.

This creates an environment where the mortgage broker is incentivized to originate more mortgages, but has no incentive to ensure the borrower is credit-worthy or make good on payments. The principal-agent problem thus arises due to the misalignment of incentives created by the originate-to-distribute business model.

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When calculating the contribution margin of manufacturing a product, fixed costs are factured into the equation. True of False?

Answers

When calculating the contribution margin of manufacturing a product, fixed costs are factored into the equation. In business, the contribution margin is the difference between a company's sales revenue and variable costs.

In other words, the contribution margin is the amount of sales revenue that is left over after variable costs are subtracted from it and before fixed costs are subtracted from it. As a result, the contribution margin is an important tool for assessing a company's profitability on a per-unit basis.

When calculating the contribution margin, fixed costs must be considered because they do not change with the number of units sold. Fixed costs are costs that are constant regardless of the amount of units produced. These costs include rent, salaries, and property taxes, for example. Fixed costs are not included in the contribution margin calculation. Rather, they are subtracted from the contribution margin to determine a company's net profit. So, to sum up, the contribution margin includes variable costs but not fixed costs. Fixed costs, on the other hand, are included in the calculation of net profit, but not in the calculation of contribution margin.

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what is medium level profession​

Answers

Medicine,agriculture,finance,tourism,teaching public services are the sectors of profession. In every field ,professions are of basic,medium and high levels.for e.g. , assistant health workers (A H W) are the basic level human resources while health assistants (HA)are medium level professionals.
Hope it helps :)

Describe your motivation for becoming a licensed cosmetologist/manicurist.

please help ​

Answers

There are several facets to the beauty industry that may be explored, including hair, cosmetics, and fashion, and one of those facets is cosmetology.

It's pleasant and gratifying to be someone who helps other people look their best. A profession as a cosmetologist might be ideal for you if you take pleasure in doing manual labor and consider yourself to be someone who gets along well with others. This is further explained below.

What is a cosmetologist/manicurist.?

Generally, Manicurists are certified cosmetologists who focus only on providing manicures. You may get a gel manicure or French tips thanks to their skill with design and application. Moreover, they are well-versed in the care and treatment of nails.

In conclusion, You don't need an obsession with hair, cosmetics, and fashion to succeed in the cosmetology industry. Helping others shine visually is a rewarding and entertaining activity. Become a cosmetologist if you are outgoing, creative, and love using your hands.

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you invest $700 in a security with a beta of 1.4 and $300 in another security with a beta of 0.8. the beta of the resulting portfolio is

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Beta is a measure of a security's sensitivity to market movements and is used to assess the risk associated with investing in that security. In this scenario, you've invested $700 in a security with a beta of 1.4 and $300 in another security with a beta of 0.8.

To calculate the beta of the resulting portfolio, you'll first need to determine the proportion of your investments in each security. For the first security, the proportion is $700/($700+$300) = 0.7. For the second security, the proportion is $300/($700+$300) = 0.3.

Next, multiply the proportion of each security by its respective beta: (0.7 x 1.4) + (0.3 x 0.8). This equals 0.98 + 0.24, which equals 1.22.

Therefore, the beta of your resulting portfolio is 1.22. This means your portfolio's expected return is 1.22 times more sensitive to market movements compared to a benchmark index, such as the S&P 500. A beta greater than 1 indicates a higher level of risk and potential reward, while a beta less than 1 suggests lower risk and reward.

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Select all that apply.
Common skills assessments administered during the employment interview process include:
none of the above
science
keyboarding
math

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Answer:

Keyboarding and Math :)

Explanation:

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