As the number of stocks in a portfolio is increased unique risk decreases and becomes equal to market risk. So the option C is correct.
This is because as the number of stocks are increased, the individual stocks become more diversified and the risk associated with them becomes more evenly distributed. This reduces the risk of any single stock having a large impact on the portfolio's overall performance.
As the number of stocks increases, the portfolio's overall risk will eventually converge towards the risk of the market as a whole. Thus, increasing the number of stocks in a portfolio reduces the unique risk of the portfolio and brings it closer to the market risk.
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The complete question is:
As the number of stocks in a portfolio is increased:
A) Unique risk decreases and approaches to zero
B) Market risk decrease
C) Unique risk decreases and becomes equal to market risk
D) Total risk approaches to zero
Successful entrepreneurs have mindsets that typically possess which three
characteristics? (Choose Three)
Responsible
Adaptable
Nervous
Argumentative
Tenacious
5
Successful entrepreneurs have mindsets that typically possess three characteristics and that is being responsible, adaptable and tenacious. Thus, the correct options are the 1). Responsible, 2). Adaptable and 3). Tenacious.
What are the characteristics of a successful entrepreneur?An entrepreneur refers to an individual who set up a new business, bear most of the risks and enjoy most of the rewards. The process of establishing a business is known as entrepreneurship.
For being a successful entrepreneur, an individual must possess significant characteristics such as passion, open-minded, creativity, risk-taking, approachable, professionalism, knowledge, skills etc.
Basically, an entrepreneur must be capable to handle all the responsibilities in well efficient way.
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at a world price of $1000, country b has a domestic quantity demanded of 10 computers while it has a domestic quantity supplied of only 6 computers. in a situation of free trade, how many computers will country b be importing?
In a situation of free trade, Country B will be importing 4 computers.
What is free trade?
Import and export restrictions are not present in a free trade system. It can also be seen as the free market concept implemented in global trade. Political parties with economic liberal stances are more likely to support free trade than economic nationalist as well as left-wing parties, who typically support protectionism, which is the antithesis of free trade. Today, the majority of countries participate in multilateral trade agreements through the World Trade Organization. The unilateral action of Great Britain, which from the middle of the 19th century to the 1920s reduced import and export regulations and duties, served as the best example of free trade.
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Question 1 in the plan stage of the data life cycle, what decisions would a data analyst make? select all that apply. 1 point what kind of data is needed how the data will be managed how the data will be analyzed who will be responsible for the data
In the plan stage of the data life cycle, a data analyst would make the following decisions:
What kind of data is needed
How the data will be managed
Who will be responsible for the data
These decisions are important to ensure that the data is collected and managed in a way that will support the analysis that needs to be done, and that the right people are involved in the process.
The decision on how the data will be analyzed is typically made in the next stage of the data life cycle, the analyze stage.
In the plan stage of the data life cycle, a data analyst would typically make decisions related to the planning and design of the data project. Specifically, they would make decisions related to:
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Who watches Riverdale ? if you do can we be friends(pLEASE DON'T DELETE) and also who is your fav character from Riverdale
Answer:veronica
Explanation:
sure
Answer:
yes i love riverdale my fav character is cheryl or betty
Explanation:
Describe the role and function of the Electoral Office of Jamaica in relation to the electoral process in Jamaica
The Electoral Office of Jamaica is the nation's independent electoral management body responsible for conducting free and fair elections in the country.
In relation to the electoral process in Jamaica, its primary role is to provide administrative support to the electoral process, including the registration of voters, the organization of the poll, and the counting of votes.
The Electoral Office of Jamaica has the following functions:
1. Voter Registration
The Electoral Office of Jamaica is in charge of registering all qualified citizens to vote. Voters' lists are prepared, revised, and updated by the agency.
2. Provision of Electoral Information
The Electoral Office of Jamaica's primary function is to educate the public about the electoral process. The agency is responsible for providing information on polling places, hours of voting, and voter identification requirements.
3. Supervision of Elections
The Electoral Office of Jamaica is in charge of organizing and conducting elections, including the setting up of polling places and the counting of votes.
4. Dissemination of Election Results
After the counting of votes, the Electoral Office of Jamaica is in charge of making the election results public.
In conclusion, the Electoral Office of Jamaica is the country's independent electoral management body, responsible for conducting free and fair elections. Its primary function is to provide administrative support to the electoral process, including voter registration, the organization of the poll, and the counting of votes. The agency is also responsible for educating the public about the electoral process and disseminating election results.
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two ways in which young entrepreneurs can benefit from the National Youth Development Agency
South Africa's National Youth Development Agency has launched the Ithubalentsha Micro Enterprise Programme, which will provide young aspirant and established entrepreneurs with training, mentorship, micro-enterprise finance, market linkages and access to business opportunities.
The baumol-riggs method is mutually consistent and can be used to determine the value of a share of stock?
The comparable method, the dividend discount model, and the firm cash flow model.
What is the current value method?Current Value Method (CVM)
The current value assets the value of the company and liabilities measured the current value at which they sold or settled as the current date. The total equity value of the company on a controlling basis is the estimation of the Current value method.
The method is based on accounting of the assets also known as fair value accounting or mark-to-market accounting.
There are the three main types of valuation methods,
It is used in establishing the economic business. And it is very helpful in all types of business. We know the in each method of the CVM has so many advantages and disadvantages . Example : Market, cost and income has advantages also drawbacks.
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The given question is incomplete, complete question is:
In theory, which of the following models are mutually consistent and can be used to determine the value of a share of stock?
Crane supply company, a newly formed corporation, incurred the following expenditures related to land, to buildings and to machinery and equipment Abstract company's fee for title search $546 Architect's fee $3329 Cash paid for land and dilapidated building thereon $91350 Removal of old building $21000 Less: salvage $ 5775 $15225 Excavation before construction for basement $19950 Machinery purchased (subject to 2% cash discount, which was not taken) $57750 Freight on machinery purchased $1407 storage storages on machinery, necessitated by noncompletion of building when machinery was delivered $2289 New building constructed (building construction took 6months from Dated of purchase of land and old building ) $509,250 Assesment by city for drainage project $1680 Hauling charges for delivery of machinery from storage To new building $651 Installation of machinery $2100 Trees, shrubs, and other landscaping after completion Of building (permanent in nature) $5670 Land Building Machinery and Equipment Other Abstract fee $ $ $ $_________ Architect's $ $ $ $________ Cash paid for Land and old building$ $ $ $_________ Removal of old Building $ $ $
Land: Cash paid for land and dilapidated building thereon $91,350, Assessment by city for drainage project $1,680 and Trees, shrubs, and other landscaping after completion of building (permanent in nature) $5,670
What is Assessment?Assessment is the process of gathering and evaluating evidence of learning and development to make informed decisions. It involves the measurement of knowledge, skills, abilities, attitudes, and beliefs.
Building:
Architect's fee $3,329
Removal of old building $21,000 (less salvage $5,775) $15,225
Excavation before construction for basement $19,950
New building constructed (building construction took 6 months from date of purchase of land and old building) $509,250
Machinery and Equipment:
Machinery purchased (subject to 2% cash discount, which was not taken) $57,750
Freight on machinery purchased $1,407
Storage charges on machinery, necessitated by noncompletion of building when machinery was delivered $2,289
Installation of machinery $2,100
Other:
Abstract company's fee for title search $546.
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Which of the following asset allocation decisions are typical regret avoidance behavior? Check all that apply:
Using diversification to minimize portfolio risk.
Avoiding companies with high book-to-market ratios.
Allocating 50% of one's portfolio to various graphite mining companies in the Mozambique that show high growth potential.
Focusing on well-known companies with sound financials.
Buying Company A instead of Company B because Company A's share price has outperformed Company B's share price over the last 2 years.
The asset allocation decisions that are typical regret avoidance behavior are - Avoiding companies with high book-to-market ratios and Allocating 50% of one's portfolio to various graphite mining companies in Mozambique that show high growth potential.
What is regret avoidance behavior?Regret avoidance behavior is when investors choose investment options based on what they believe they will regret in the future, rather than making decisions based on current market analysis or market conditions. This is typical behavior of conservative investors who prioritize capital preservation over capital appreciation.
So, using diversification to minimize portfolio risk and Focusing on well-known companies with sound financials are not typical regret avoidance behaviors, as they are based on current market analysis and market conditions.
Also, buying Company A instead of Company B because Company A's share price has outperformed Company B's share price over the last 2 years is not regret avoidance behavior, as it is based on the past performance of the companies.
The best investment option should be chosen based on current and future performance, rather than past performance. Therefore, the two asset allocation decisions that are typical regret avoidance behavior are: Avoiding companies with high book-to-market ratios and Allocating 50% of one's portfolio to various graphite mining companies in Mozambique that show high growth potential.
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You+deposit+$500+today+in+a+savings+account+that+pays+6%+interest,+compounded+annually.+how+much+will+your+account+be+worth+at+the+end+of+20+years?
According to the question your savings account will be worth approximately $742.95 at the end of 20 years.
To calculate the future value of your savings account, we can use the formula for compound interest: A = P(1 + r/n)^(nt), where A is the future value, P is the initial deposit, r is the interest rate, n is the number of times the interest is compounded per year, and t is the number of years.
In this case, you deposited $500 today, the interest rate is 6% (or 0.06), and the interest is compounded annually (n = 1). We need to calculate the future value at the end of 20 years (t = 20).
Plugging in the values into the formula:
A = 500(1 + 0.06/1)^(1*20)
Simplifying the calculation:
A = 500(1 + 0.06)^20
Calculating the value within parentheses:
A = 500(1.06)^20
Evaluating the exponent:
A = 500(1.06^20)
Using a calculator:
A ≈ 500(1.4859)
Calculating the final result:
A ≈ $742.95
Therefore, your savings account will be worth approximately $742.95 at the end of 20 years.
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Allen Furniture Company is considering offering an inexpensive line of college dorm and apartment furnishings. If they move forward, they will renovate part of their store to accommodate this new stock. Before spending the money to redesign the store, they first want to find out customer interest. In a short response of approximately 100 words, describe some of the steps they should take as they consider this project.
Answer:
Allen Furniture Company should look into conducting a survey to gauge customer interest to find what they look for, need, and find attractive. They could do so by going to college campuses and conducting random interviews. For their apartment furnishings, they could look online to see what kind of product sell and do an analysis of customer interest that way and they could also conduct a survey for people that live in apartments. They could also look into a consultant that specializes in the field and is experienced with what customers like or want.
To determine if an opportunity is attractive or unattractive for a firm, marketers can use an analysis of the external and internal environments such as through.
Marketers can use an analysis of the external and internal environments such as through SWOT analysis.
SWOT stands for (Strength, Weakness, Opportunities & Threats), with the help of this method business organizations try to identify the internal strength and weaknesses of and organization and the presence of opportunities and threats in external environment. The two segments, strength and weakness are internal to the company, and which can be controlled and made better, whereas opportunities and threats are a result of dynamic external environment which is not in the hand of the organization and depend upon various factors such as economic conditions in the country, government rules and regulations, social factors etc.
The businesses are always required to scan their environment regularly to identify the threats and opportunities and at the same time should also work on their strengths and weaknesses. SWOT analysis is really a helpful measure that can help a business to combat its problems and will help it in making an efficient decision.
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Mayan company had net income of $33,480. the weighted-average common shares outstanding were 9,300. the company has no preferred stock. the company sold 4,300 shares before the end of the year. there were no other stock transactions. the company's earnings per share is:
Answer:
Earnings Per Share = $3.6
Explanation:
Given
Net Income Average = $33,480
Weighted-average common shares outstanding = 9,300
Shares sold = 4,300
Required
Calculate the company's earnings per share.
Earning per share is calculated as thus;
Let N represent the Net Income; P represent the Preferred Dividend and W represent the Weighted-average common shares outstanding
\(Earnings Per Share = \frac{N - P}{W}\)
The question says there was no preferred stock;
So, P= 0
Substitute $33,480 for N and 9,300 for W.
The formula becomes;
\(Earnings Per Share = \frac{33,480 - 0}{9300}\)
\(Earnings Per Share = \frac{33,480}{9300}\)
\(Earnings Per Share = 3.6\)
Hence, the calculated Earnings per share of Mayan company is $3.6
A country's currency is backed by a gold standard. However, gold production has declined and will not recover. Which action would protect the value of the country's currency in the long run?
1.) Borrow more gold
2.) Print more currency
3.) Move to fiat currency
4.) Take no action
The action taken to protect the value of the currency of the country in the longer periods by shifting towards creating fiat money.
The Third option is correct.
What is gold standard?Gold standard is a kind of standard commenced in the US country where the value of currency decided in respect of gold.
When the production of gold has minimized and there is no chance for being it to be recovered, then the country should move its focus on creating fiat money. A fiat money is the one of a kind which does not requires any physical property for deciding its worth.
Therefore, the third option is correct.
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profit is the only
Organizational objectives of the business.Do you agree
Explanation:
I agree because without profit what's the use of the business
Financial transaction or non-financial transaction?
Please help.
Answer:
1.Financial transaction
2.Financial transaction
3.non-financial transaction
4.non-financial transaction
5.Financial transaction
ROI stands for return on investment. It is the ratio of incremental profit from an activity over the cost of the activity times 100. If the incremental profit from your ad campaign is $5,000 and the cost of the campaign is $7,500, what is the ROI?
Answer:
66.7%
Explanation:
ROI stands for return on investment. It is the ratio of incremental profit from an activity over the cost of the activity times 100. If the incremental profit from your ad campaign is $5,000 and the cost of the campaign is $7,500, the ROI is 66%.
What is return on investment?The return on investment estimates the loss and gain generated on the amount of money that is invested. The return on investment) is the percentage to analyze an organization’s profit or the earnings of different investment.
The return on investments estimates what we will receive back as compared to what we have invested. It can be used by a company to estimate inventory investments, pricing policy, capital equipment investments, etc.
If the incremental profit from your ad campaign is $5,000 and the cost of the campaign is $7,500, the ROI is 66%.
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Business firms that lobby their governments to engage in protectionism may miss the opportunity to build _____ by constructing a globally dispersed production system.
Answer:
Business firms that lobby their governments to engage in protectionism may miss the opportunity to build efficiency by constructing a globally dispersed production system.
the goal of information management is to identify information requirements for various levels
Answer:
Yes, that is the reason
A business purchases a computer for $3,000. The value of the system decreases at a rate of 15% per year. Write an exponential function to model this situation. Then determine how much the computer will be worth after 4 years.
The exponential function that represents this circumstance is:
f(x) = 3,000(0.85)x
The exponential function: what is it?Calculating the exponential growth or decay of a given collection of data is done using an exponential function, which is a mathematical function. Exponential functions, for instance, can be used to estimate population changes, loan interest rates, bacterial growth, radioactive decay, and disease spread.
The mathematical expression f(x)=exp or ex denotes the exponential function. The word, unless specifically stated differently, normally refers to the positive-valued function of a real variable, though it can be extended to the complex numbers or adapted to other mathematical objects like matrices or Lie algebras.
Based on the facts provided, the function f(x) = 3,000(0.85)x that models the value of a computer system predicts that the computer will be worth:
= f(x) = 3,000(0.85)x
= f(x) = 3,000(0.85)⁴
= 1566.02.
Consequently, in four years, the computer will be worth $1566.02.
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A monopolistic competitor maximizes profit by producing 175 units at a marginal cost of $7. The average cost to produce is $14 per unit, and the firm can sell its output at a price of $16.
What is the total profit this firm earns?
Answer:
343
Explanation:
x=175
(14x+7)=2,457 the cost of everything
16x=2800
2800-2457=343
According to the question, the total profit of this firm earns in per unit is $2 and profit which they earn in 175 units is $350.
What is Profit maximization in monopolistic competition?In the monopolistic competition, organisation maximizes its total profit by equating marginal cost to marginal revenue and solving for the price of one product and the quantity it must produce.
In this process, a monopolistic competitor chooses its profit - maximizing quantity and price resembles closely how a monopoly makes these decisions process.
Therefore,
Profit / Unit = Price / Unit - Cost / Unit
so, the price per unit = $16 and the cost per unit = $14
Here, the profit per unit is $2 and total earns profit is $350.
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could someone explain to me what the money market in Italy is, thank you all
Explanation:
Two main markets comprise the Borsa Italiana: the Mercato Telematico Azionario (MTA), which is the segment for mid- and large-size companies; and the AIM Italia, which was established in 2009 to cater for high growth small and medium enterprises needing more flexibility around the reporting and governance requirements.
Determine the interest rate r needed for an investment to triple in value in 11 years if interest is compounded continuously. Exact interest rate (without using a calculator), r = Interest rate, as a percent, rounded to 2 decimal places %
We are to determine the interest rate r needed for an investment to triple in value in 11 years if interest is compounded continuously. We can use the formula for continuous compounding: A=Pe^{rt}, where A is the final amount, P is the initial amount, r is the annual interest rate, and t is the time in years.
From the problem, we know that we want the investment to triple in value, so the final amount will be 3P. We also know that t = 11. Substituting these values into the formula gives 3P = Pe^{r(11)}Dividing both sides by P gives:3 = e^{11r}Taking the natural logarithm of both sides gives ln(3) = 11rln(e)ln(3) = 11r Simplifying, we get:r = ln(3)/11≈0.0875 To convert this to a percentage, we multiply by 100:r ≈ 8.75%Therefore, the exact interest rate (without using a calculator), r is ln(3)/11 and as a percent, rounded to 2 decimal places is 8.75%.
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The rise of nationalism is evident through all the following except
Multiple Choice
A. Increased domestic lending.
the election of President Trump.
B.WTO protests.
C. Brexit referendum.
D.strong protests to immigration.
Answer:
A. Increased domestic lending.
Explanation:
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Consider two loans with one-year maturities and identical face values: a(n) 7.6% loan with a 1.02% loan origination fee and a(n) 7.6% loan with a 5.2% (no-interest) compensating balance requirement. Which loan would have the higher effective annual rate? Why?
The loan with a compensating balance requirement would have a higher effective annual rate because the reduction in the amount borrowed increases the overall cost of the loan.
The loan with a compensating balance requirement would have the higher effective annual rate. The effective annual rate takes into account all the costs associated with a loan, including fees and compensating balances, and provides a measure of the true annual cost of borrowing.
In the first loan, the 1.02% origination fee is a one-time upfront cost, which is included in the calculation of the effective annual rate. However, the 7.6% interest rate is applied to the full face value of the loan.
In the second loan, the 5.2% compensating balance requirement means that the borrower must maintain a balance equal to 5.2% of the loan amount in a non-interest-bearing account. As a result, the effective amount borrowed is reduced by the compensating balance, effectively increasing the cost of the loan.
Due to the reduction in the amount borrowed, the loan with the compensating balance requirement will have a higher effective annual rate compared to the loan with the origination fee.
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Which plan would most likely NOT help you reach the savings needed for college?
D. Start saving about two months before college begins
what is the role of the executive committee and what is the overarching intent of the budgeting process? johnson and johnson
The executive committee is responsible for setting financial goals and objectives, approving the budget, and monitoring progress towards achieving those goals and objectives.
The overarching intent of the budgeting process is to plan the organization’s financial activities, measure performance, and inform decision-making. It involves allocating resources, forecasting cash flows, and controlling expenses in order to balance the organization's income and expenditures.
The budgeting process helps to ensure the organization operates efficiently and effectively, and helps to identify and correct areas of weakness. It also allows for better resource allocation, strategic planning, and cost control.
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Question 1 (2 points)
You can own a business that will allow you to compete with others to make a profit.
True or
False
Answer:
True
Explanation:
The principal purpose of building a business is to make profits. A business must provide solutions to particular needs and wants in the community to attract customers. Different entrepreneurs will offer alternative or similar solutions to a specific situation.
Anyone starting a business will target a particular set of customers. He or she must be ready to complete for those customers with other like-minded entrepreneurs. Competition is good in business as it makes entrepreneurs innovate on the best ways to serve their customers. It also gives customers alternatives.
How does Hurricane Katrina illustrate the problem with insurance?
Answer:How does Hurricane Katrina illustrate the problem with insurance? It illustrates the problem with insurance because it was a wide spread disaster for many people. ... It's not like insurance companies have an unlimited supply of money so they often declined a lot of people's claims. This was often very discriminating too
Explanation:mark brainliest ineed 2 more
sherwin-williams, the paint manufacturer, now also operates retail stores in a strategy known as
The strategy whereby the company manufactures paint and now operates retail stores in known as Forward integration.
Forward integration refers to an operation whereby the company gains total control of the business activities that are ahead of the value chain in question.
Here, Sherwin-williams does produce paint, the retails stores they operate is an example of Forward integration in value chain since its operates as manufacturer and retail seller of the paints.
In conclusion, the strategy whereby the company manufactures paint and now operates retail stores in known as Forward integration.
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