Accounting transactions for trading in on another asset with a gain on the sale but no commercial substance result in no gain or loss.
When purchasing PPE in exchange for another asset, the cost is calculated using the carrying value of the item that was exchanged. As a result, no profit or loss will be recorded.
Substance Not for Commercial Use. A transaction is said to have a commercial substance if there are financial benefits as a result of exchange transactions. The deal lacks commercial substance if there is no change in financial gains. For commercial drugs, there must be a change in the risk, value, or timing of cash flows.
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In 2011 oil production in libya was interrupted by political unrest. at the same time, the demand for oil by china continued to rise.
a. demonstrate the impact on the quantity of oil bought and sold. instructions: draw a parallel shift in the demand or supply curve(s) by grabbing, dragging, and then dropping the curve(s) to the new position(s). in the market for oil, compared to the initial equilibrium (e0), the impact of these events on price is and the impact on quantity is .
b. oil production in libya returned to its original levels by the end of 2012. what was the likely effect on equilibrium oil price and quantity? compared to the equilibrium identified in part a, price will and quantity will .
Jose has been asked to conduct a needs assessment for an operational department. What is the first step he should take?.
Jose needs to offer a suggestion.
An operational assessment looks at an operation's present procedures, tools, software, formats, personnel, stock mix, management techniques, and other factors in order to identify areas for improvement.
A needs analysis is crucial because it enables a business to identify any gaps that might be preventing it from achieving its preferred goals. These gaps might be in either knowledge, practices, or abilities, according to Anthony J. Jannetti in A guidebook to doing a desires assessment and a gap evaluation.
The definition of operational needs is "non-procedural obligations that consume staffing resources." Those jobs are further excluded from the trying-out process and are significantly more operational in character than indirect-effort tasks.
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true or false: a change in one of the determinants of supply results in a movement along the supply curve.
A supply curve is a graph that illustrates how a change in a product's price impacts the volume of supplies a seller provides.
The horizontal x-axis displays the quantity supplied, while the vertical y-axis displays the price.
For the majority of items, the curve will have an upward, positive slope, signifying a strong correlation between the two values. In other words, the more of a good or service a seller has on hand, the higher the price of it. For instance, if the cost of a lawnmower rises, or the price a customer pays, a hardware store would stock more in an effort to raise its profit margin.
The two different supply curve types are individual and market.
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Now suppose that there is an option to abandon the project after 1 year! so the project costs $137,000 to begin today. this begins phase 1 there is learning involved in the first year. proceed to phase 2 only if phase 1 is promising. there is a 10% chance that phase 1 will be promising. if phase 1 is promising invest $2.75 million next year and build the plant. it will generate $350,000 per year forever (starting the year after) and is almost risk free. if phase 1 is not promising abandon the project.. what is the npv of the project? company wacc
-$122,119.05 is the npv of the project if there is an option to abandon the project after 1 year! so the project costs $137,000 to begin today.
Present Value of infinite Cash Flows = Cash Flow per year / WACC
NPV of Project = (Probability of Phase 2 * NPV of Phase 2) + (Probability of no Phase 2 * NPV of no Phase 2) - Cash Outflow for Phase 1
NPV of Project = -$122,119.05
Cash flow is the net amount of cash and cash equivalents coming into and going out of a business. Inflows are represented by money received, and outflows are represented by money spent.
Ability to generate positive cash flows, or more specifically, potential to maximize long-term free cash flow, is ultimately what determines a company's ability to create value for shareholders (FCF). After deducting any funds used for capital expenditures, a company's free cash flow (FCF) is the cash it generates from its regular business activities.
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calculate earnings per share (eps) under each of the three economic scenarios before any debt is issued. (do not round intermediate calculations and round your answers to 2 decimal places, e.g., 32.16.) a-2. calculate the percentage changes in eps when the economy expands or enters a recession. (a negative answer should be indicated by a minus sign. do not round intermediate calculations and enter your answers as a percent rounded to 2 decimal places, e.g., 32.16.) b-1. calculate earnings per share (eps) under each of the three economic scenarios assuming the company goes through with recapitalization. (do not round intermediate calculations and round your answers to 2 decimal places, e.g., 32.16.) b-2. given the recapitalization, calculate the percentage changes in eps when the economy expands or enters a recession. (a negative answer should be indicated by a minus sign. enter your answers as a percent rounded to 2 decimal places, e.g., 32.16.)
A-1) Calculation of three different economic scenarios' earnings per share (EPS):
Econometric EPS =
A hypothetical scenario (Net Income / Common Stock Shares)
I Standard $4.57 (32,000/7,000)
ii) Growth $5.12 ($35,840/7,000)
iii) Recession $22,400/7,000 = $3.20
I Expansion = 12.04% ($5.12 - $4.57)/$4.57 * 100; b) Recession = -1.00% ($5.12 - $4.57)/$4.57 * 100; c) Balance Sheet Growth = -1.00% ($5.12 - $4.57)/$4.57 * 100;
ii) Recession equals -29.98% ($3.20 - $4.57)/$4.57 multiplied by 100
B-1. Calculation of EPS in three different economic scenarios following recapitalization
Debt interest equals $115,000 x 6%, or $6,900.
EBIT less $6,900 is net income.
1,250 shares of outstanding common stock (7,000 - $115,000/20)
Econometric EPS =
A hypothetical scenario (Net Income / Common Stock Shares)
1. Regular $20.08 ($25,100/1,250)
ii) Growth $23.15 ($28,940/1,250)
Recession (iii) $12.40 ($15,500/1,25
What is earnings per share?The earnings per share (EPS) of a corporation is calculated by dividing its net profit by the total number of outstanding common shares. A popular indicator for determining corporate value is EPS, which shows how much money a firm produces for each share of its stock.
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Imagine the local government banned students from purchasing items before or after school without a parent. If you wanted to change the policy, what would be your best course of action
The most appropriate option to counteract this action by citizens is Attend and participate in the next local Council meeting (option E)
What is a local council?The local council is a local public administration body that has a mandate over a city. This estate can establish some special regulations for said territory and citizens must comply with them.
However, there are ways for citizens to influence political decisions and modify determinations according to their convenience.
One of the ways citizens have to influence political decisions is by participating in local councils.
Note: This question is incomplete because the options are missing. Here are the options:
A. Boycott the snack shop
B. Plan sit-ins at the local town hall
C. Write a letter to your Congressperson
D. Write an email to your Governor
E. Attend and participate in the next local Council meeting
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parts used in manufacturing digital cameras would best be classified as what type of cost?
The parts used in manufacturing digital cameras would best be classified as direct costs.
Direct costs are expenses that can be traced directly to a specific product or service
. In the case of digital cameras, the cost of parts used to manufacture each camera is directly tied to the cost of producing that camera. These costs include items such as camera lenses, sensors, screens, and other components.
Direct costs are critical to understanding the overall cost of producing a product, as they are directly tied to the production process.
By accurately tracking these costs, manufacturers can make informed decisions about pricing, production volumes, and other key business decisions.
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Consider a second hand car market where three types of cars are being sold: High quality (H), medium quality (M) and low quality (L). Sellers value an H at $2000, an M at $1200 and an L at $800, whereas buyers value an H at $1800, an M at $1600 and an L at $1400. As discussed in the "Akerloff's Lemons Market", sellers are able to distinguish between different quality cars but buyers are not and a buyer believes that in this market 40% of the cars is an H, 30% of the cars is an M and 30% of the cars is an L. a) Determine which type of cars will be sold at the efficient allocation. b) Determine which type of cars will be sold at the market equilibrium.
Answer:
a) Determine which type of cars will be sold at the efficient allocation.
All cars would be sold in a Pareto efficient allocation.
In a Pareto efficient market, resources are all allocated in teh most efficient possible way. This is the reason why this is just a theoretical concept that does not necessarily apply in real life.
b) Determine which type of cars will be sold at the market equilibrium.
Since consumers are only willing to pay up to $1,620 for a used car, only medium quality and low quality cars will be sold. The price of high quality used cars is higher than the equilibrium price.
Explanation:
the most a buyer would be willing to pay for a used car is ($1,800 x 40%) + ($1,600 x 30%) + ($1,400 x 30%) = $720 + $480 + $420 = $1,620
What is the average weight of a shipment going to the city of New York with a shipping date in November or December
The average weight of a shipment going to the city of New York with a shipping date in November or December, based on the given example, is 191 pounds.
The average weight of a shipment going to the city of New York with a shipping date in November or December can vary depending on several factors.
To calculate the average weight, you would need the weights of all the shipments going to New York during that period and then divide the total weight by the number of shipments.Here's a step-by-step explanation:
1. Obtain the weights of all the shipments going to New York with a shipping date in November or December.
2. Add up all the weights to find the total weight of all the shipments.
3. Count the number of shipments to determine how many shipments were included in the calculation.
4. Divide the total weight by the number of shipments to calculate the average weight.
For example, let's say there were 10 shipments to New York in November and December, with the following weights:
- Shipment 1: 100 pounds
- Shipment 2: 200 pounds
- Shipment 3: 150 pounds
- Shipment 4: 180 pounds
- Shipment 5: 220 pounds
- Shipment 6: 160 pounds
- Shipment 7: 190 pounds
- Shipment 8: 210 pounds
- Shipment 9: 170 pounds
- Shipment 10: 230 pounds
To find the average weight, you would add up all the weights: 100 + 200 + 150 + 180 + 220 + 160 + 190 + 210 + 170 + 230 = 1910 pounds.
Since there are 10 shipments, you would divide the total weight (1910 pounds) by 10: 1910 / 10 = 191 pounds.
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In a period of steep increases in interest rates, which issuer is most likely to be negatively affected
Answer:
the answer to yout question is utility companys
Explanation:
The _____ rule bars any form of recovery from an employer for torts committed by one employee against another.
apparent
fellow-servant
zone of risk
The fellow-servant rule bars any shape of recovery from a company for torts dedicated to using one worker against every other.
According to this rule, if an employee is injured due to the negligence or wrongful act of a co-worker, they can't keep their enterprise chargeable for the damages. The reason behind the guy-servant rule is that employees expect the risks inherent in their profession, which include the ones posed by way of their fellow employees.
It is based totally on the principle that an agency cannot be held chargeable for the actions of one worker against every other, as long as the organization has supplied fairly safe running surroundings. However, it's vital to observe that the fellow-servant rule has been changed or abolished in many jurisdictions, as it is seen as an old and unfair doctrine that fails to adequately shield injured personnel.
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1.the balance of an account is calculated as
A the total of the debit side
B the total of the credit side
C the difference between the totals of the debit and credit side
D.the sum of all entries
2.the total on the debit of an account is greater than the credit side.what does this mean?
A the account has a debit balance
B the account has a credit balance
C the account cannot be balanced
D the account has no balance
3.a credit balance occurs in a ledger account when
A the total on its debit side is greater than the credit side
B the total on its debit side is less than the total on its credit side
C the total on its debit side is equal to the total on its credit side
D the total is zero in the ledger account
Answer:
1.A
2.C
3.D
Explanation:
hope its help
A firm’s business strategy must respond and adapt to all of the variables in the following list to remain competitive. From this list, which variable does IS have the biggest impact on?
The variable that Information Systems (IS) has the biggest impact on in a firm's business strategy is "operational efficiency." IS enables companies to streamline their processes, manage resources more effectively, and automate repetitive tasks, ultimately leading to reduced costs, increased productivity, and a higher level of competitiveness.
Step-by-step explanation:
1. Information Systems (IS) facilitate data collection, storage, and analysis, which helps businesses make informed decisions about their strategy.
2. IS helps in automating manual processes, which reduces labor costs and increases the speed of operations.
3. By providing real-time data, IS enables businesses to monitor their performance and respond to changes in the market quickly.
4. IS enables effective communication and collaboration within the organization, fostering innovation and better problem-solving.
5. Overall, IS improves operational efficiency, enabling a firm to remain competitive in the ever-changing business environment.
In conclusion, Information Systems (IS) has the most significant impact on the "operational efficiency" variable, helping businesses adapt and respond to the demands of the market and remain competitive.
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Francis just signed the papers on a conventional 30-year, $210,000 loan. He was wondering what type of interest will he be paying on the loan. What is the correct answer
Based on the information given the type of interest will he be paying on the loan is simple interest.
What is simple interest?Simple interest is use to determine the interest amount that is being paid or interest amount that is charge on the borrowed amount.
Simple interest is calculated using this formula
Simple interest=P×R×T
Where:
P=Principal
R=Interest rate
T=Time
Inconclusion the type of interest will he be paying on the loan is simple interest.
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Select all that apply.
Signs that a listener is paying attention include:
giving advice
facing speaker
telling a similar story
maintaining eye contact
Answer:
facing the speaker and maintaining eye contact
Answer:
1. giving advice
2. facing speaker
3. telling a similar story
4. maintaining eye contact
Explanation:
Edge 2021-2022 :)
Rule-of-thumb budgeting is budgeting that's popular with the hospitality and tourism industry because it's so effective.
true
or
false
f the Federal Reserve wants to close an inflationary gap, then it will: A. increase the money supply, increase the interest rate, thus increasing investment spending and GDP, and the AD curve will shift to the right. B. decrease the money supply, increase the interest rate, thus lowering investment spending and GDP, and the AD curve will shift to the right. C. decrease the money supply, increase the interest rate, thus lowering investment spending and GDP, and the AD curve will shift to the left. D. decrease the money supply, decrease the interest rate, thus lowering investment spending and increasing GDP, and the SRAS curve will shift to the right. E. increase the money supply, decrease the interest rate, thus lowering investment spending and increasing GDP, and the SRAS curve will shift to the left.
Answer:
C. decrease the money supply, increase the interest rate, thus lowering investment spending and GDP, and the AD curve will shift to the left.
Explanation:
Fiscal policy in economics refers to the use of government expenditures (spending) and revenues (taxation) in order to influence macroeconomic conditions such as Aggregate Demand (AD), inflation, and employment within a country. Fiscal policy is in relation to the Keynesian macroeconomic theory by John Maynard Keynes.
A fiscal policy affects combined demand through changes in government policies, spending and taxation which eventually impacts employment and standard of living plus consumer spending and investment.
An inflationary gap, also known as the expansionary gap in economics is used to measure the difference between the gross domestic product (GDP) and the current level of real Gross Domestic Products that exists when a country's economy is guaged at a full employment rate. This eventually causes the price of goods and services to go up with a low income level.
Basically, an expansionary fiscal policy will cause the total increase in aggregate demand to be greater than the initial increase in aggregate demand due to the multiplier process.
According to the Keynesian theory, government spending or expenditures should be increased and taxes should be lowered when faced with a recession, in order to create employment and boost the buying power of consumers.
Hence, if the Federal Reserve wants to close an inflationary gap, then it will decrease the money supply, increase the interest rate, thus lowering investment spending and gross domestic product (GDP), and the aggregate demand (AD) curve will shift to the left.
explain five importance of a division of labour in production
Explanation:
INNOVATION: When workers are set specific tasks, that is their pure focus. So it becomes easier to see pitfalls in the existing process. Doing the same task each day makes it easier to analyse areas for improvement. It takes up more of the brains processing power, so it is at the forefront of a workers mind.
HIGHER WAGES: It must be said that not all the productivity gains are necessarily passed on to the consumer. A proportion may go to profits, whilst some may go to higher pay for employees.
CHEAPER PRODUCTS: It must be said that not all the productivity gains are necessarily passed on to the consumer. A proportion may go to profits, whilst some may go to higher pay for employees.
PRODUCTIVITY: When workers focus solely on a specific task, they can master it quicker and more efficiently. In turn, workers become more productive.
EFFICIENT MASTERY: Without the division of labor, mastery of a skill takes much longer. This is because a workers attention is spread across many areas.
For instance, it would be difficult to master a language if you are also trying to learn the piano, engineering, CSS, and economics. So, the division of labor allows the worker to focus and master a specific part of the process, which helps them learn it faster.
highlight four ways of improving productivity of labour as a factor of production
Answer:
Following are the four ways for improving the productivity of the labour is given below
Explanation:
If we give the proper resource assignment to each worker at the proper time we will increase the productivity of the labor .Increasing the skills by guiding the labor to the latest technology so they know the latest or the current technology they will increase the productivity .If we enhancing the physical capital it means if we dependent on the machinery they will increase the productivity . Giving the incentive to labor at the particular interval of time we will increase the productivity.Why does the government oversee the provision of public goods?
Public goods are goods and services that tend to result in negative externalities; therefore, the government must oversee that the provision of these goods and services is limited.
Public goods are goods and services that tend to result in negative externalities; therefore, the government must oversee that the provision of these goods and services is limited.
Public goods are goods and services that are non-excludable and rivalrous. The government must oversee the fair distribution of these goods; otherwise, they would be distributed on a first-come, first-serve basis.
Public goods are goods and services that are non-excludable and rivalrous. The government must oversee the fair distribution of these goods; otherwise, they would be distributed on a first-come, first-serve basis.
Public goods are goods and services that are non-excludable and non-rivalrous; therefore, it is not profitable or in the best interest of private businesses to provide these goods.
Public goods are goods and services that are non-excludable and non-rivalrous; therefore, it is not profitable or in the best interest of private businesses to provide these goods.
Public goods and services require resources in production that are scarce; therefore, the government must ensure that production is limited.
The reason why public goods are provided by the government is C. Public goods are goods and services that are non-excludable and non-rivalrous; therefore, it is not profitable or in the best interest of private businesses to provide these goods.
A public good simply means the good that is beneficial to everyone in the society. It's non-excludable and non-rivalrous. e.g electricity, water, sewage disposal, etc.
Public goods are goods and services that are non-excludable and non-rivalrous; therefore, it is not profitable or in the best interest of private businesses to provide these goods. They're usually provided to meet the needs of the people and not for profit motive.
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Answer:
Public goods are goods and services that are non-excludable and non-rivalrous; therefore, it is not profitable or in the best interest of private businesses to provide these goods.
Explanation:
The guy above me is also correct, pls give him credit. The test said it was correct.
Maria and Marisa are fixing up their basement. They need access to cash, so they visit their bank where they are pre-approved for $55,000. They can write checks for up to this amount, and they will repay this loan by making payments over time that include the amount borrowed and finance charges. Which type of credit are Maria and Marisa using? O A. a bank line of credit OB. an installment sales credit O C. an installment cash credit OD. a single lump-sum credit
Answer:
bank line of credit
Explanation:
i got it right
What if this website was a dating and show yourself and butt app/website?
Let's say that the economy consists of 100 people. Each person is to divide 1 unit of time between work and leisure given the wage rate w (paid on the labor market). Each person also receives dividends of T. The final total profit of this firm is n. The person's utility function depends on consumption c and leisure I and it is assumed to satisfy u(c, l) = 0 ln(c) + (1 - 0) ln(l), where 0 € (0, 1). On the flip side of the market, there are firms who hire workers and produce output. The representative firm operates with a Cobb-Douglas production technology Y = 2K ¹N ², Z = total factory productivity K = fixed amount of capital. Each of these firm's employees receive a wage of w (total labor cost of the firm is equal to wN). The profit is then given back equally to the shareholder as dividend income. G=0 0=3,2=1, K = 1600. Let's say initially 1. Write the equation that will show relation between each person's dividend income and firms total profit П. 2. Write the consumers budge constraint and maximization problem. Plot these 3. Write down the maximization problem of the firm. 4. Write down the government budget constraint. 5. Find the equilibrium price w, allocations c, N
The equation T = П / 100 relates each person's dividend income (T) to the firm's total profit (П), distributing profit equally among the 100 individuals.
The consumer's budget constraint, c + w - T = 1, constrains consumption (c), wage income (w), and dividend income (T), while the maximization problem aims to optimize utility subject to the budget constraint. Firm maximization problem and equilibrium price w are not provided.
The equation T = П / 100 represents the relationship between each person's dividend income (T) and the firm's total profit (П). Since there are 100 people in the economy, the total profit is divided equally among them, resulting in each person's dividend income being equal to the total profit divided by 100.
The consumer's budget constraint, c + w - T = 1, defines the limitations on the individual's consumption (c), wage income (w), and dividend income (T). It states that the sum of consumption, wage income, and dividend income should equal 1 unit of time available to each individual, indicating that all income must be allocated between consumption, leisure, and other expenses.
The consumer's maximization problem involves maximizing the utility function u(c, l) = 0 ln(c) + (1 - 0) ln(l), where c represents consumption and l represents leisure. The objective is to find the combination of consumption and leisure that maximizes the individual's utility, subject to the budget constraint. By solving this problem, the optimal levels of consumption and leisure can be determined.
The information provided does not include the maximization problem of the firm, which would involve determining the optimal combination of inputs (capital and labor) to maximize output or profit based on the Cobb-Douglas production technology given.
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2. The owner of a franchise benefits from brand name recognition, access to professional
and nationwide advertising.
Answer:
True
Explanation:
It is TRUE that the owner of a franchise benefits from brand name recognition, access to professional and nationwide advertising.
This is because the owner of a franchise has various advantages. The advantages include enhanced reputation which covers all the places there is a franchise.
Then there is an increase in management techniques and work practices, including access to national advertising to cover many places and continuous support.
I got this question on my quiz a few weeks ago and was wondering if anyone could explain the best/correct answer.
I'm currently leaning towards the last option, but I'm not sure.
Answer:
Easy it's B, this is because the rate at which we earn interest with only 1000$ does not keep up with the maintenance fee.
In B u get $1010 because of the interest after the first year,
In D u get $960 because if u get an annual interest of 2% from $1000 u get a total of $1020 but deduction from maintenance fee is $60 per year, Thus $1020-$60 = $960. Same explaination for the others as well.
Berthold's Sporting Goods just purchased $375 worth of tennis gear from one
of its vendors to restock its inventory. What accounts would be debited and
credited in this transaction?
A. Both Inventory and Accounts Payable would be credited $375.
B. Inventory would be debited $375. Accounts Payable would be
credited $375.
C. Both Inventory and Accounts Payable would be debited $375.
D. Inventory would be credited $375. Accounts Payable would be
debited $375.
The amount of $375 would be deducted from inventory. The transaction would credit Accounts Payable $375.
What is Accounts Payable?Accounts payable are amounts owed by a company to its suppliers that are shown as a liability on the balance sheet. It differs from notes payable liabilities, which are debts incurred as a result of formal legal instrument documents.Accounts Payable refers to when a company purchases goods on credit that must be paid back in a short period of time. It is classified as a liability and falls under the category of 'current liabilities'. Accounts Payable is a short-term debt payment that must be made in order to avoid default.Accounts payable is a liability because it is money owed to creditors and is listed on the balance sheet under current liabilities.To learn more about Accounts Payable refer to :
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2. How important it is to create a prototype before launching a certain product in the market? What is the
relevance of it in your life as a student? Pa help asappppp
How can choosing the right institution help you manage money effectively?
Answer:
You may get a better job, or it may make you more responsible. The money is the main thing, you will get paid better, so you wont have to worry abt money i guess.
Explanation:
asar1:sajan commerce business with cash rs150000and furniture rs5000
asar5:purchased goods form raj rs5000 on cash and 10000 on credit.
asar11:good sold to hair for rs10000 on credits.
asar15:cash received from hair rs 5000
Answer: i think its B
Explanation:
You invest $100 in a risky asset with an expected rate of return of 0.11 and a standard deviation of 0.21 and a T-bill with a rate of return of 0.045. A portfolio that has an expected outcome of $114 is formed by: systematic risk or diversifiable risk systematic risk or nondiversifiathe risk. unique risk or nondiversifiable risk. unique risk or diversifiable risk.
A portfolio that has an expected outcome of $114 is formed by diversifiable risk. When investing in any asset, an investor should look out for diversifiable risks and non-diversifiable risks.
Diversifiable risk is the risk that is specific to a particular company, sector, or industry. In contrast, non-diversifiable risks are the risks that affect the entire market. These risks are also referred to as systematic risks.
Risk premium = Expected rate of return of risky asset - Risk-free rate=
0.11 - 0.045= 0.065
The expected rate of return of the portfolio is:
Expected rate of return of portfolio = Weight of risky asset * Expected rate of return of risky asset + Weight of T-bill *
Risk-free rate= \(0.5 * 0.11 + 0.5 * 0.045= 0.0775\)
The standard deviation of the portfolio is given by the formula:
Square root of \([(0.5 * 0.21)^2 + (0.5 * 0)^2 + 2 * 0.5 * 0.5 * 0.21 * 0 * 0]= 0.07485\)
The expected outcome of the portfolio is given by the formula:
Expected outcome of portfolio = Investment * (1 + Expected rate of return of portfolio)
=\(100 * (1 + 0.0775)= $107.75\)
The expected outcome of the portfolio is $107.75, which is less than $114.
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