In addition to price-weighted and value-weighted indexes, an equally weighted index is one in which the index value is computed from the average rate of return of the stocks comprising the index. Equally weighted indexes are frequently used by financial researchers to measure portfolio performance.The following three defense stocks are to be combined into a stock index in January 2013 (perhaps a portfolio manager believes these stocks are an appropriate benchmark for his or her performance):PriceShares(millions) 1/1/13 1/1/14 1/1/15Douglas McDonnell 180 $ 60 $ 64 $ 77Dynamics General 325 68 64 78International Rockwell 370 97 86 100a. Compute the rate of return on an equally weighted index of the three defense stocks for the year ending December 31, 2013. (Negative values should be indicated by a minus sign. Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places. Omit the "%" sign in your response.)Index return %b. If the index value is set to 100 on January 1, 2013, what will the index value be on January 1, 2014? (Do not round intermediate calculations. Round your answer to 2 decimal places.)Index value c. What is the rate of return on the index for 2014? (Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places. Omit the "%" sign in your response.)Index return %

Answers

Answer 1

To calculate the rate of return on an equally weighted index of the three defense stocks for the year ending December 31, 2013, we need to determine the total return for each stock, then calculate the average return of the three stocks. The rate of return on the equally weighted index of the three defense stocks for the year ending December 31, 2013 is 14.21%.

The total return of a stock is calculated by subtracting the stock's starting price on January 1, 2013 from its ending price on December 31, 2013, and dividing the result by the stock's starting price on January 1, 2013.
Douglas McDonnell: ((77-60)/60) = 28.33%
Dynamics General: ((78-68)/68) = 15.29%
International Rockwell: ((100-97)/97) = 3.09%
The average return of the three stocks is calculated by adding the three returns together and dividing by three.
Average return = (28.33% + 15.29% + 3.09%) / 3 = 14.21%
b. If the index value is set to 100 on January 1, 2013, the index value on January 1, 2014 can be calculated using the average return. The formula for calculating the index value is the initial index value (100) multiplied by one plus the average return.
Index value = 100 * (1 + 0.1421) = 114.21
Therefore, the index value on January 1, 2014 will be 114.21.
c. To calculate the rate of return on the index for 2014, we need to calculate the total return for the index and then calculate the rate of return. The total return is calculated by subtracting the index's starting value on January 1, 2014 from its ending value on December 31, 2014, and dividing the result by the index's starting value on January 1, 2014.
Total return = (Index value on December 31, 2014 - Index value on January 1, 2014) / Index value on January 1, 2014
Total return = (X - 114.21) / 114.21 .

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Related Questions

would the new equilibrium price of tutoring services be if Ann decided to stop tutoring? $ _____per hour

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Note that from the graphical representation, the new equilibrium price of tutoring services be if Ann decided to stop tutoring would be $ 25 per hour

What is an Equilibrium Price?

In economics, economic equilibrium is a state in which economic factors such as supply and demand are balanced and the values of economic variables do not change in the absence of external influences.

Equilibrium is the situation in which market supply and demand balance each other, resulting in stable pricing. In general, an oversupply of products or services leads prices to fall, resulting in increased demand, whereas an undersupply or shortage causes prices to rise, resulting in decreased demand.

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would the new equilibrium price of tutoring services be if Ann decided to stop tutoring? $ _____per hour
would the new equilibrium price of tutoring services be if Ann decided to stop tutoring? $ _____per hour
would the new equilibrium price of tutoring services be if Ann decided to stop tutoring? $ _____per hour

A college professor with advanced degrees, moderate salary, and little power to shape national events can be described as having:

Answers

Answer:

Low status consistency

Explanation:

A college professor with advanced degrees, moderate salary, and little power to shape national events can be described as having low status consistency.

What percentage of students have strong critical skills? a. 34% b. 28% c. 70% d. 10%​

Answers

D is the correct answer

identify each item as an example of either income or wealth.

Answers

Wealth describes the amount of valuable economic goods accumulated at a given point in time, while income measures the amount of money, which is obtained over a given interval of time.

What is the difference between income and wealth?

The following suggestions characterize each item as an example of either income or wealth.

Social Security checks - wealth

Royalty checks for writing a novel - income

Money in a 401(k) account - income

Equity in an owner-occupied home - income

Stocks and bonds - income

Therefore, social security checks are wealth, while Money in a 401(k) account is income.

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The given question is incomplete, so the most probable complete question is,

Identify each item as an example of either income or wealth.

-Social Security checks

-royalty checks for writing a novel

-money in a 401(k) account

-equity in an owner-occupied home

-stocks and bonds

In general, a decrease in consumer income will have what effect on demand for normal goods?.

Answers

Income and demand for common commodities are tightly correlated, which means that as income rises, demand will follow suit and vice versa if income falls.

How does the demand for everyday commodities depend on consumer income?

A typical good is one whose demand rises as a result of an increase in consumer income. In other words, as earnings rise, so does demand for typical commodities; conversely, when wages fall or employment decreases, so does demand.

Do common goods decline when income falls?

A good whose demand increases as a result of an increase in pay, such as when a person's income increases, is referred to as a normal good. Contrarily, when income falls, as it can due to a wage cut or a layoff, the demand for regular items reduces.

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The repair service that fixes your farming equipment doesn’t seem to fix your plow correctly. The technician says that if you are not happy, you can buy a new plow from him, but the cost is extremely high. Do you have other options available to you for higher-quality repairs or cheaper equipment? Explain your answer.

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Answer:

Your best option would be for higher quality repairs and higher quality equipment, this would save you more money and time in the long run where you have the ability to do other things.

Explanation:

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Answer:

No, because in command economies, there is no competition. So, there are no other repair services that would offer higher-quality repairs or cheaper equipment. Additionally, no incentive exists for the technician to provide high-quality service.

Explanation:

the actual answer

As people have more time to adjust to a price change,
a. both supply and demand become less elastic.
b. demand becomes less elastic, and supply becomes more elastic.
c. demand becomes more elastic, and supply becomes less elastic.
d. both supply and demand become more elastic.
e. elasticity of both demand and supply tends toward unity.

Answers

. This is due to the fact that as time goes on, customers have more opportunity to find alternatives, alter their routines, or change their budgets to account for price changes.

A more elastic demand curve results as a result of the amount required becoming more responsive to price variations. Yet, in order to change their production capacity, locate new suppliers, or create new technologies, companies require time. A less elastic supply curve results as a result of the amount provided becoming less sensitive to price variations.

Customers respond more strongly to price changes as they have more time to become used to them, which results in a more elastic demand curve. People could choose different options, change their buying habits, or cut back on their total consumption. As a result, firms may experience decreased demand and fewer revenues, necessitating yet another price adjustment.

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credit can be great to have. in some situations, having credit can even help you achieve some financial goals, but only as long as you ____________. consumer loans can be part of your credit management program. identify characteristics of a consumer loan in the following list. check all that apply. a. used for a one-time transaction for a specific purpose b. used to pay for comparatively expensive and infrequent purchases c. has no specified repayment plan except periodically due minimum payments d. has a specific repayment schedule for a defined period of time and a defined amount

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The following are some of the characteristics of a consumer loan:

A. Used for a one-time transaction for a specific purpose.Used to pay for comparatively expensive and infrequent purchases.

D. Has a specific repayment schedule for a defined period of time and a defined amount.

The characteristics of a consumer loan:

To have credit can be great, but it should be managed well. In some cases, it can even assist in attaining financial goals. It is important to have a well-structured plan when it comes to managing credit.

It is also critical to comprehend the various types of credit, including consumer loans. Consumer loans can be part of your credit management program, and they come in a variety of types.

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Demand-oriented, cost-oriented, profit-oriented, and competition-oriented are four approaches used to set ______.

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The 4 approaches to set approximate price level includes Demand-oriented, cost-oriented, profit-oriented, and competition-oriented.

In marketing, the determination of the price of a product or services can take different approach which includes:

Demand-oriented: This method attempts to set price at level that intended buyers are willing to pay.

Cost-oriented: This method of pricing attempts to set price at the level that will cover the total cost incurred for producing the product.

Profit-oriented: This method of pricing attempts to set price at the level that guarantees the company's profitability

Competition-oriented: This method of pricing attempts to set price while considering competition of other company

Therefore, the four approaches are used to set approximate price level.

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Please select the word from the list that best fits the definition the number of workers for each person receiving social security benefits.

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The ratio is the relationship between two values, which in this case would be the number of workers for each person receiving social security benefits.

What is social security?

Social Security is a federal program in the United States designed to provide retirement income and disability benefits to individuals and families. It is funded through payroll taxes, which are collected from employers and employees, as well as income taxes on Social Security benefits. The program was created in 1935 as part of the New Deal and has been modified over the years to meet the changing needs of the population.

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Answer dependency ratio

the area of a parking lot is square meters. a car requires square meters and a bus requires square meters of space. there can be at most vehicles parked at one time. if the cost to park a car is $ and a bus is $ , how many buses should be in the lot to maximize income? a. c. b. d. please select the best answer from the choices provided a b c d

Answers

To maximize income in the parking lot, we need to determine the maximum number of buses that can be parked.

Let's assume the area of the parking lot is A square meters. Each car requires C square meters and each bus requires B square meters of space.

To find the maximum number of buses, we need to divide the total area of the parking lot by the space required for each bus. The maximum number of buses (N) can be calculated using the formula: N = A / B.

Next, we need to consider the maximum number of vehicles that can be parked at one time, which is M.

Since we want to maximize income, we should choose the largest value between N and M. Let's denote it as X.

Now, let's calculate the income by multiplying the cost to park a bus by X: Income = X * cost of parking a bus.

To determine the best answer, we need to compare the incomes for different values of X. Select the value of X that yields the highest income.

In summary, to maximize income, we need to calculate the maximum number of buses that can be parked (N), consider the maximum number of vehicles that can be parked at one time (M), choose the larger value between N and M (X), and calculate the income by multiplying the cost of parking a bus by X.

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We must figure out the greatest number of buses that can be parked in order to maximize revenue in the parking lot.

Assume the parking lot has a size of A square meters. Each bus needs B square meters of room, and each vehicle needs C square meters.

Divide the entire parking lot size by the amount of space needed for each bus to get the maximum number of buses. The equation N = A / B may be used to determine the maximum number of buses (N).

The most automobiles that can be parked at once is M, therefore we must think about it next.

The greatest value between N and M should be selected since we want to maximize our income.

Let's label it X.

Let's now multiply the cost of bus parking by X to determine the revenue: income = X * cost of bus parking.

We must contrast the earnings for several values of X in order to select the appropriate response. Choose the X value that produces the greatest profit.

In order to maximize income, we must determine the maximum number of buses that can be parked (N), take into account the most vehicles that can be parked simultaneously (M), select the greater value between N and M (X), and then multiply the cost of parking a bus by X to determine the income.

The idea behind revenue maximization is that if you offer your items for a low enough price, you will sell more of them overall, increasing your income. Maximizing revenue does not necessarily translate into maximizing profits, since you might need to sell some of your stock at a loss to clear your shelves.

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Faldo Corp sells on terms that allow customers 45 days to pay for merchandise. Its sales last year were $325,000, and its year-end receivables were $60,000. If its DSO is less than the 45-day credit period, then customers are paying on time. Otherwise, they are paying late. By how much are customers paying early or late? Base your answer on this equation: DSO - Credit Period = Days early or late, and use a 365-day year when calculating the DSO. A positive answer indicates late payments, while a negative answer indicates early payments.a. 21.27b. 22.38c. 23.50d. 24.68e. 25.91

Answers

Answer:

b. 22.38

Explanation:

The credit period to pay for merchandise is 45 days, sales for last year = $325,000, therefore sales/day (daily sales) = $325,000/365 = $890.41

Year-end receivables = $60,000

Company DSO = Year-end receivables/ daily sales = $60000/$890.41 = 67.38

The difference between the Company DSO and credit period determines if the payment is early or late. A positive answer indicates late payments, while a negative answer indicates early payments.

Therefore, Company DSO - credit period = 67.38 - 45 = 22.38

Since the difference is positive, it is a late payment

Which of the following is true of portfolio diversification?
A A diversified portfolio containing positively correlated investments has a higher variance than a portfolio containing a single asset type.
B. A diversified portfolio containing negatively correlated investments has a higher variance than a portfolio containing a single asset type.
C. A diversified portfolio containing positively correlated investments has a lower variance than a portfolio containing a single asset type.
D. A diversified portfolio containing negatively correlated investments has a lower variance than a portfolio containing a single asset type.

Answers

D. A diversified portfolio containing negatively correlated investments has a lower variance than a portfolio containing a single asset type. Portfolio diversification is a strategy used by investors to spread their investments across various asset types, industries, and geographic regions. This helps to reduce the overall risk of the portfolio.

When investments are negatively correlated, it means that their values tend to move in opposite directions, thus balancing each other out and reducing the overall volatility of the portfolio. As a result, a diversified portfolio with negatively correlated investments typically has a lower variance compared to a portfolio focused on a single asset type, which would be more susceptible to the specific risks associated with that asset class.

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Option D is correct. In a diversified portfolio, negatively correlated investments lower the variance compared to a portfolio with a single asset type.

The correct answer to your question, 'Which of the following is true of portfolio diversification?' is option D. A diversified portfolio containing negatively correlated investments has a lower variance than a portfolio containing a single asset type. When investments are negatively correlated, the variance or risk of the portfolio is reduced because the assets tend to move in opposite directions. So, when one asset's value falls, the other's rises, and vice versa. This diversification spreads the risk and reduces the overall variability or volatility of the portfolio, making it less likely that the portfolio will suffer a significant loss compared to a portfolio containing a single asset type.

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Suppose you are given a $100 gift card and you choose to spend it on a number of goods. You will select a combination of goods that is best for you and that maximizes your satisfaction. Your choices will involve which of the following?.

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Your choices will involve the comparison of marginal cost and marginal benefits for each good considered.

What is marginal cost and marginal benefit?

Marginal cost is the additional cost generated by purchasing an extra unit of a good.  For example, if the cost of buying 10 units of a good is 100 and the total cost of buying 12 units is 120. Marginal cost is: (120 - 100) / (12 - 10) = 10

Marginal benefit is the change in total benefit as consumption is increased by one unit. Satisfaction is maximised when marginal cost is equal to marginal benefit.

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Curtis just received a raise at work increasing his salary by $8,500. He knows that an increase in salary will increase the amount of federal income taxes withheld from his paycheck. Which of the following statement best describes the effect his raise will have on state income tax withholdings?
a.
State income tax is unrelated to federal, he will see no change in his state withholding.
b.
Since he is having more withheld for federal, he will have less withheld for state so that he pays the same amount in the end.
c.
State income tax is usually a set percentage of federal income tax. With an increase in federal he will see an increase in state withholding.
d.
Since he is making more money, the state government will take advantage of his raise and charge him more income tax. His state withholding will increase.

Answers

State income tax is usually a set percentage of federal income tax. With an increase in federal he will see an increase in state withholding.

Thus, the correct option is C.

What is an income tax?

Income taxes are levied against both businesses and individuals (or family units). Based on the income received, individual income taxes are calculated. Typically, it is categorized as a direct tax because the burden is thought to fall on the people who pay it.

A tax placed on people or organizations in relation to their income or profits is known as an income tax.

Tax rates multiplied by taxable income are typically used to calculate income taxes. Tax rates might change depending on the taxpayer's attributes and source of income.

The following are the main characteristics of a tax:

Taxes are mandatory payments that must be made by the citizens who are responsible for paying them. Thus, failing to pay taxes is a crime that carries a penalty. There isn't a clear trade-off between tax payers and the government.

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Which of the following sets of words describes the initial set of actions a firm uses to gain competitive advantage and the other firm's response to it?a.Tacit collusion, explicit collusionb.Competition, cooperationc.Attack, counterattackd.Cooperation, signaling

Answers

Option C accurately describes this dynamic process of firms engaging in competitive actions and counteractions as they strive to gain or maintain a competitive advantage in the marketplace.

The set of words "attack, counterattack" describes the initial set of actions a firm uses to gain a competitive advantage, followed by the other firm's response to it. In a competitive market, firms often engage in aggressive strategies to gain a competitive edge over their rivals. This can involve actions such as aggressive pricing, product differentiation, marketing campaigns, or innovation to attract customers and increase market share.

When a firm initiates an aggressive move, the competing firms respond with counterattacks to protect their own market position and competitive advantage. These counterattacks can involve strategies such as price cuts, new product introductions, enhanced marketing efforts, or other competitive actions to regain market share or defend against the initial attack.

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Clayco Company completes the following transactions during the year.

July 14

Writes off a $750 account receivable arising from a sale to Briggs Company that dates to 10 months ago. (Clayco Company uses the allowance method.)

July 30

Clayco Company receives a $1,000, 90-day, 10% note in exchange for merchandise sold to Sumrell Company (the merchandise cost $600)

Aug 15

Receives $2,000 cash plus a $10,000 note from JT Co. in exchange for merchandise that sells for $12,000 (its cost is $8,000). The note is dated August 15, bears 12% interest, and matures in 120 days

Nov 1

Completes a $200 credit card sale with a 4% fee (the cost of sales is $150). The cash is transferred immediately from the credit card company

Nov 3

Sumrell Company refuses to pay the note that was due to Clayco Company on October 28. Prepare the journal entry to charge the dishonored note plus accrued interest to Sumrell Company’s accounts receivable.

Nov 5

Completes a $500 credit card sale with a 5% fee (the cost of sales is $300). The cash is transferred immediately from the credit card company.

Nov 15

Receives the full amount of $750 from Briggs Company that was previously written off on July 14. Record the bad debts recovery.

Dec 13

Receives payment of principal plus interest from JT for the August 15 note.

Required
1. Prepare Clayco Company’s journal entries to record these transactions.
2. Prepare a year-end adjusting journal entry as of December 31 for each separate situation.

Bad debts are estimated to be $20,400 by aging accounts receivable. The unadjusted balance of the Allowance for Doubtful Accounts is a $1,000 debit.
Alternatively, assume that bad debts are estimated using the percent of sales method. The Allowance for Doubtful Accounts had a $1,000 debit balance before adjustment, and the company estimates bad debts to be 1% of its credit sales of $2,000,000.

Answers

The journal entries for the transactions are as follows:

1. Journal entries to record the transactions:

a) July 14:

  Bad Debts Expense              750

      Allowance for Doubtful Accounts     750

b) July 30:

  Notes Receivable               1,000

      Sales                            1,000

  Cost of Goods Sold               600

      Inventory                            600

c) August 15:

  Accounts Receivable          12,000

      Sales                               12,000

  Cost of Goods Sold                8,000

      Inventory                             8,000

  Notes Receivable                 10,000

      Sales Revenue                          2,000

      Interest Revenue                       200

d) November 1:

  Credit Card Expense              8

      Sales                                      8

  Cash                                         192

      Credit Card Clearing                       192

  Cost of Goods Sold                   150

      Inventory                                         150

e) November 3:

  Accounts Receivable             1,000

      Notes Receivable                        1,000

f) November 5:

  Credit Card Expense                20

      Sales                                         20

  Cash                                            480

      Credit Card Clearing                         480

  Cost of Goods Sold                     300

      Inventory                                            300

g) November 15:

  Allowance for Doubtful Accounts       750

      Accounts Receivable                                   750

h) December 13:

  Cash                                    10,120

      Notes Receivable                                10,000

      Interest Revenue                                   120

Supporting Answer:

2. Year-end adjusting journal entries:

a) Using the aging method:

  Bad Debts Expense               20,400

      Allowance for Doubtful Accounts        20,400

b) Using the percent of sales method:

  Bad Debts Expense                20,000

      Allowance for Doubtful Accounts        20,000

What are the journal entries and year-end adjusting entries for Clayco Company's transactions?

The given paragraph describes various transactions conducted by Clayco Company throughout the year.

The transactions include writing off an account receivable, receiving a note in exchange for merchandise, receiving cash and a note in exchange for merchandise, completing credit card sales with fees, a dishonored note, bad debt recovery, and receiving payment for a note.

To address the requirements, the first step is to prepare journal entries for each transaction, recording the necessary debits and credits.

Then, an adjusting journal entry is required for each situation as of December 31. The adjustment can be based on estimating bad debts either by aging accounts receivable or using the percent of sales method.

Further details such as specific amounts and accounts involved are needed to provide a more comprehensive explanation of the transactions and the resulting journal entries.

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c. if the factory overhead account has a credit balance at the end of the first month of the fiscal year, where will the amount of this balance be reported on the interim balance sheet?

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The amount of this balance will be reported on Deferred Credit in the interim balance sheet.

Money which is received by a business but is not immediately recorded as income as it is yet to be earned is known as deferred credit. When a customer has paid for a good or service, revenues can only be recognised as earned under the accrual accounting method when the good or service has been supplied and the earnings can be matched with an associated expense.

On the balance sheet, deferred credit is shown as a liability. This includes consultancy fees, subscription fees, and any additional revenue stream that is closely connected to future commitments.

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Regulators in different countries have proposed various regulations for product labeling. All of the following statements pertaining to such regulations are true except:A) mandatory health warnings on tobacco products are required in most countries.B) the American Automobile Labeling Act clarifies the country of origin as well as the final assembly point.C) in 2008, the United States enacted a country of origin labeling (COOL) law.D) the use of terms "light" and "natural" are allowed on labels only in the United States.E) McDonald's is posting nutrition information on all food packaging and wrappers in selected markets.

Answers

Answer:

D) the use of terms "light" and "natural" are allowed on labels only in the United States.

Explanation:

As the term "light" has a dictionary meaning of a very low in weight as compared to similar products in the market, is a very basic term to define the nature of product.

No labelling regulator has claimed that this kind of labelling is only allowed in the United States.

Further, the dictionary meaning of the word "natural" with respect to products shall mean, one that is not composed of high chemicals or transformation, but the major essence is extracted from the nature, i.e. from the environment.

Thus, the word natural can again be used by any country to label their product and in no manner is restricted to the United States.

It's essential to know how to check your account balance in order to manage
your money. Which of the following is not an effective way of checking your
balance?
O Check your account online.
O Call the financial institution directly. .
O
Download the financial institution app.
O Contact the FDIC/NCUA.

Answers

Answer:contact the FDIC/NCUA

Explanation:The FDIC/NCUA would not be able to provide any account information. FDIC is Federal Deposit Insurance Corporation and it’s an independent agency. NCUA is National Credit Union Administration is also a independent agency. FDIC are for banks and NCUA is for credit unions. They both regulate and insure deposits.

Answer: Contact FDIC/NCUA

Explanation: Everfi quiz

On July 1, 2007, East Company purchased as a long-term investment P5,000,000 face amount, 8% bonds of Rand Company for P4,615,000 to yield 10% per year. The bonds pay interest semiannually on January 1 and July 1. In its December 31, 2007 balance sheet, East should report interest receivable of?

Answers

In its December 31, 2007 balance sheet, East should report interest receivable of P100,000.

It is given data that: Face value of bonds purchased = P5,000,000, Purchase price = P4,615,000 (to yield 10% per annum), Interest rate = 8%. Bonds pay interest semi-annually (twice a year) on January 1 and July 1

Now, we can use the following formula to find out the interest receivable on December 31, 2007:

Interest = Face value of bonds x Interest rateInterest for 6 months = 5,000,000 x 8% x (6/12) = P200,000

Since the bonds were purchased on July 1, 2007, East Company will earn interest for the next 6 months (from July 1, 2007, to December 31, 2007).

Interest for the period July 1, 2007, to December 31, 2007, = P200,000 / 2 = P100,000

Therefore, interest receivable on December 31, 2007, will be P100,000.

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following distance (the distance between the taxi and the lead car) was recorded. The sample mean following distance was 3.50 meters and the sample standard deviation was 1.13 meters. ( )m Interpret the interval. (b) What assumption must be made in order to generalize this confidence interval to the population of all taxi drivers in Greece? We need to assume that taxi drivers used in the study are all drive the same make and model car. We need to assume that taxi drivers used in the study are representative of all taxi drivers in Greece. We need to assume that taxi drivers used in the study are representative of all drivers who have used the simular We need to assume that taxi drivers used in the study are representative of all drivers in Greece. We need to assume that taxi drivers used in the study are all using the same mobile phone.

Answers

a) Interpretation of the interval is as follows: There is a 95% chance that the true average following distance of all the taxi drivers in Greece lies between 3.17 meters and 3.83 meters.

The following interval is obtained by using the formula for a confidence interval where the sample mean following distance is 3.50 meters, the sample standard deviation is 1.13 meters, sample size is 100, degrees of freedom (df) is 99, and t (value for 95% confidence interval) is 1.984 (obtained using t-distribution table). Thus, the interval is calculated as follows: $$(\bar{x}-t_{\alpha/2}\frac{s}{\sqrt{n}},\bar{x}+t_{\alpha/2}\frac{s}{\sqrt{n}})$$$$=(3.50-1.984\frac{1.13}{\sqrt{100}},3.50+1.984\frac{1.13}{\sqrt{100}})$$$$=(3.17,3.83)$$b)

The assumption that must be made in order to generalize this confidence interval to the population of all taxi drivers in Greece is that the taxi drivers used in the study are representative of all taxi drivers in Greece. Therefore, option B is correct. It is important to have a random sample of taxi drivers to ensure that the results of the study can be generalized to the population of all taxi drivers in Greece. If the sample is not random and representative, the results of the study cannot be applied to the population and it would not be valid to generalize the findings.

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our self-talk consists of words pictures and emotions. as we imprint our affirmations we

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Self-talk is your inner voice or the way you speak to yourself. Although you almost probably are doing it without realizing it, you almost certainly are. In order to produce an internal monologue throughout the day, this inner voice mixes conscious thoughts with ingrained beliefs and biases.

What are the four categories of self-talk?

Your inner discourse is known as self-talk.

Personalizing. You own all of the guilt for yourself.

Magnifying.

Catastrophizing.

Polarizing.

What are the five tiers of one's own self-talk?

Helm Stetter outlines the "Five Levels of Self-Talk" (Negative Acceptance, Recognition and Need to Change, Decision to Change, The Better You, and Universal Affirmation) and offers advice on how to navigate each level for significant life changes.

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A stock has an expected return of 12 percent and a standard deviation of 20 percent. Long term Treasury bonds have an expected return of 9 percent and a standard deviation of 15 percent. Given this data which of the following statements is correct?

A. Both investments have the same diversifiable risk.
B. The stock investment has a better risk-return trade-off.
C. The bond investment has a better risk-return trade-off.
D. The two assets have the same coefficient of variation.

Answers

Answer:

D. The two assets have the same coefficient of variation.

Explanation:

the coefficient of variation = standard deviation / mean

the coefficient of variation of the stock = 20% / 12% = 1.67the coefficient of variation of the treasury bonds = 15% / 9% = 1.67

As a general, the lower the coefficient of variation, the more exact is the estimated return.

Boeing’s strategy to become the largest airplane maker in the world included acquiring competitors such as mcdonnell douglas. The development of this strategy falls under the ______ function of management.

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There are different aspect of management. The development of this strategy falls under the planning function of management.

What is the planning function of management?

Planning is simply known to be a function of management that entails putting out objectives and knowing the right course of action to achieving the stated objectives.

Planning often needs managers to be very much aware of environmental conditions that faces their organization and predict future conditions.

Conclusively, principles of management is grouped into the four major functions such as;

Planning, Organizing LeadingControlling

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Ella presented her master's thesis to her supervising professor. She had linked many data tables into her PowerPoint
presentation. A year later, she was asked to present her findings at a conference. When she tried to present her slides,
many of her links had broken. Which best explains what happened to her links?

Answers

Answer:Stolen

Explanation:somebody prolly stole her work for there own keep your digital stuff save

Answer:

She renamed a folder or file, and the link can no longer be found.

Explanation:

the value of a parcel of property is the present worth of all rights to current and future benefits of ownership. true false

Answers

Answer:

No it is not true, the value of a parcel of property is the present worth of all rights to current and future benefits of ownership.

Explanation:

The legal and theoretical ownership of resources and their permissible uses are defined by property rights. These resources may be owned by private parties, public entities, or both. They may also be physical or intangible.

False, When a licensee uses pricing, the outcome is a suggested price for a prop rather than an appraisal or view of the property's value. An unbiased assessment or opinion on a piece of property's worth. It is supported by data that corroborate the value estimate.

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Which of the following phrases best describes O*NET?


A financial guide for students

A job search site

A career exploration tool

A college information database

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Answer:

Job search site

Explanation:

....................

Answer:

C.

A career exploration tool

Explanation:

Not sure if this is right, but it's the best guess

Emily and her children went into a grocery store and she bought $20. 80 worth of bananas and peaches. Each banana costs $0. 80 and each peach costs $2. She bought a total of 14 bananas and peaches altogether. Write a system of equations that could be used to determine the number of bananas and the number of peaches that Emily bought. Define the variables that you use to write the system.

Answers

We can write a system of equations to determine the number of bananas and peaches that Emily bought. Let's define the variables 'b' for the number of bananas and 'p' for the number of peaches.

Based on the given information, we can set up the following system of equations:

1) The total cost of bananas and peaches is $20.80: 0.80b + 2p = 20.80.

2) The total number of bananas and peaches is 14: b + p = 14.

In equation 1, we multiply the cost per banana ($0.80) by the number of bananas (b) and the cost per peach ($2) by the number of peaches (p), and their sum is equal to $20.80.

In equation 2, we add the number of bananas (b) and the number of peaches (p), and their sum is equal to 14.

By solving this system of equations, we can find the values of 'b' and 'p', representing the number of bananas and peaches that Emily bought, respectively.

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Krishna is 56 years old; he has contributed to the CPP without interruption for over 30 years. While crossing the street, Krishna was struck by a bus and seriously injured. He is currently hospitalized and on life support and his doctors have informed Krishna's family that it is uncertain as to whether he will awaken from his coma. Assuming at the time of his accident, Krishna was entitled to a CPP retirement benefit of $660, the flat-rate disability amount is $496.36 per month and the maximum monthly disability benefit is $1362.30, how much of a disability benefit will Krishna receive under the CPP? a) 50 b) $865.94 C) $991.36 d) $1156.36

Answers

Option(A) is the correct answer. Krishna will receive a disability benefit of $660 under the CPP.

To determine the disability benefit that Krishna will receive under the CPP, we need to consider a few factors. First, let's calculate the disability benefit based on the provided information:

The flat-rate disability amount is $496.36 per month.

The maximum monthly disability benefit is $1362.30.

Krishna's entitlement to a CPP retirement benefit is $660 per month.

To calculate the disability benefit, we compare the retirement benefit to the flat-rate disability amount and the maximum monthly disability benefit:

The disability benefit will be the lesser of:

The retirement benefit ($660)The flat-rate disability amount ($496.36) plus the retirement benefit minus the flat-rate disability amount.

Let's calculate the disability benefit based on the above formula:

Disability benefit = min(retirement benefit, flat-rate disability amount + retirement benefit - flat-rate disability amount)

= min($660, $496.36 + $660 - $496.36)

= min($660, $660)

= $660

Therefore, Krishna will receive a disability benefit of $660 under the CPP.

Option (a) 50, option (b) $865.94, option (c) $991.36, and option (d) $1156.36 are not correct based on the given information. The correct answer is that Krishna will receive a disability benefit of $660 under the CPP.

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Krishna is 56 years old; he has contributed to the CPP without interruption for over 30 years. While crossing the street, Krishna was struck by a bus and seriously injured. He is currently hospitalized and on life support and his doctors have informed Krishna's family that it is uncertain as to whether he will awaken from his coma. Assuming at the time of his accident, Krishna was entitled to a CPP retirement benefit of $660, the flat-rate disability amount is $496.36 per month and the maximum monthly disability benefit is $1362.30, how much of a disability benefit will Krishna receive under the CPP? a) $660 b) $865.94 C) $991.36 d) $1156.36

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