Suppose the function u(x) = x^0.5 represents your taste over gambles using an expected utility function. Consider a gamble that that will result in a lifetime consumption of x with probability p, and x₁ with probability 1 - p, where x₁ > X₀. (a) Are you risk averse? Explain. (b) Write down the expected utility function. (c) Derive your certainty equivalent of the gamble. Interpret its meaning. (d) What is the expected value of the gamble?
(e) What is the risk premium of the gamble?
(f) Let v(x) = log(u(x)). Does v(x) represent the same taste over gambles as u(x) does? Explain.

Answers

Answer 1

(a) Yes, you are risk-averse. Risk aversion is characterized by a concave utility function, where the marginal utility of wealth decreases as wealth increases. In this case, the utility function u(x) = x^0.5 exhibits diminishing marginal utility, indicating risk aversion.

(b) The expected utility function is calculated by taking the weighted average of the utility outcomes of the gamble:

E(u) = p*u(x) + (1 - p)*u(x₁).

(c) The certainty equivalent of the gamble represents the guaranteed amount of wealth that you would be indifferent to compared to taking the gamble. It is the value x_c for which the utility u(x_c) is equal to the expected utility of the gamble. To find the certainty equivalent, set E(u) equal to u(x_c) and solve for x_c.

(d) The expected value of the gamble is calculated as the weighted average of the possible outcomes:

E(x) = p*x + (1 - p)*x₁.

(e) The risk premium of the gamble is the amount of additional wealth that you would require to be compensated for taking on the risk. It is the difference between the expected value of the gamble and the certainty equivalent:

Risk premium = E(x) - x_c.

(f) No, v(x) = log(u(x)) does not represent the same taste over gambles as u(x) does. The transformation of the utility function from u(x) to v(x) changes the shape of the utility function and alters the preferences for risk. The log transformation of a concave utility function can result in a utility function that exhibits risk-seeking behavior, indicating different preferences for gambles.

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Related Questions

FILL THE BLANK. "Bruuh please answer them all this my third time
posting!!!!
9-which of the following is not a resume
a. functional, b. curriculum viate, c. chronological, d. all are
resumes
__________________________"

Answers

The option "d. all are resumes" is not a valid answer. Among the given options, "curriculum vitae" is not a type of resume.

In the provided question, the options given are a. functional, b. curriculum vitae, c. chronological, and d. all are resumes. The question asks which one is not a type of resume. A curriculum vitae (CV) is a document that provides a comprehensive overview of an individual's academic and professional achievements, research experience, publications, and more. While a CV is often used in academic and research settings, it is not considered a type of resume. Therefore, the correct answer is option b. curriculum vitae.

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How did American Regionalist Era Art build on or react against art that was popular in earlier eras?
How did the society or culture of the era influence American Regionalist Era Art?
What is one characteristic of American Regionalist Era Art?
What is a second characteristic of American Regionalist Era Art?
What is a third characteristic of American Regionalist Era Art?

Answers

American Regionalist Era Art responded to and challenged the popular art of earlier eras by emphasizing the depiction of rural landscapes, local communities, and everyday life in America. This movement rejected the modernist trends of abstraction and urban-focused art, opting for a more representational and regional approach.

The society and culture of the era played a significant role in influencing American Regionalist Era Art. The movement emerged during the Great Depression in the 1930s when many Americans sought a sense of comfort, nostalgia, and connection to their regional roots. The art reflected the desire to celebrate the heartland, its people, and their struggles, serving as a source of pride and unity during a challenging time in American history.One characteristic of American Regionalist Era Art is its emphasis on realism and meticulous attention to detail. Artists in this movement aimed to portray their subjects with accuracy and precision, often using a naturalistic color palette and careful observation of light and shadow. This focus on realism aimed to capture the essence of the American experience and convey a sense of authenticity to the viewers.

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After a grueling flight, your plane lands in Tokyo. Starving, you stop at the first sushi bar you see and spend 7,109 Japanese yen. Your currency from an earlier stop in Germany is still in Euros. How many euros did you spend? Assume the yen per dollar exchange rate is 137 and the dollar per euro exchange rate is 1.258.

Answers

After a long and exhausting flight, your plane finally lands in Tokyo. You stop at the first sushi bar you see, which costs you 7,109 Japanese yen. You still have Euros with you from your previous stop in Germany, and you're curious about how much you spent in Euros. As a result, you must now convert the 7,109 Japanese yen to Euros.

To do so, you'll need to know the exchange rate of Japanese yen to Euros. Let's assume that one Euro is worth 129.9 Japanese yen today. You will then use a cross-multiplication calculation to convert the 7,109 Japanese yen to Euros. Multiply 7,109 Japanese yen by one Euro, then divide the result by 129.9 Japanese yen to obtain the Euro price. You should get 54.74 Euros as the answer. You spent roughly 54.74 Euros on the sushi at that restaurant, based on today's exchange rate and assuming no transaction fees were incurred.

In conclusion, if the exchange rate is 129.9 Japanese yen to one Euro, then you spent roughly 54.74 Euros at the sushi bar in Tokyo, which cost you 7,109 Japanese yen.

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The sooner the better, please help
Which of the following year-end adjusting entries is usually reversed? Select all correct answers. Estimated returns Liability Accrued Interest Receivable Accrued Wages Payable Bad debts expense Amort

Answers

The following year-end adjusting entries is usually reversed are C. Accrued Interest Receivable, D. Accrued Wages Payable and E.  Bad Debts Expense

The term year-end adjusting entries refer to the adjustments made to the company's financial accounts at the end of each accounting year. They assist in ensuring that the correct financial statements are produced. The adjusting entries include the accruals, deferrals, and estimates. These are all accounting entries that aim to ensure that the financial statements are updated correctly. As the name implies, adjusting entries are usually reversed or canceled at the start of the new accounting period. This is to prevent them from having a double impact on the accounting records.

It is critical to remember that adjusting entries should be reversed only if they are not related to transactions that carry over from one accounting period to the next. Therefore, Estimated Returns Liability, Amortization are not reversed entries as they are not directly related to the adjustment entries. In conclusion, the year-end adjusting entries which are typically reversed are C. Accrued Interest Receivable, D. Accrued Wages Payable and E. Bad Debts Expense.

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FIRST UNION BANK sensitivity ratio is 80% on 3.2 millions of interest rate sensitive assets. What is the amount of Interest rate sensitive liabilities?

Select one:

A) 2,400,000

B) NOT ENOUGH DATA TO ANSWER

C) 4,000,000

D) 3,000,000

E) 3,750,000

Answers

Sensitivity ratio: It is the ratio of interest rate-sensitive assets (IRA) to total assets and is used to determine a bank's vulnerability to interest rate changes. It helps in estimating the exposure of an organization to interest rate risk. the amount of Interest rate sensitive liabilities is 3.2 million. Option D) 3,000,000 is the correct answer.

Here, the FIRST UNION BANK sensitivity ratio is 80% on 3.2 million of interest rate sensitive assets .According to the sensitivity ratio, we know that the ratio of interest rate-sensitive assets to interest rate-sensitive liabilities is 80:100, which can be written as 4:5. That means, 4 parts out of 9 parts are interest rate-sensitive assets and the remaining 5 parts are interest rate-sensitive liabilities. It can be written as follows, Interest rate-sensitive assets / (Interest rate-sensitive liabilities + Interest rate-neutral liabilities) = 4/5 (i.e., 80/100)Let us assume the amount of Interest rate-sensitive liabilities to be x. Hence, we can write the above expression as follows:3.2 million / (x + Interest rate-neutral liabilities) = 4/5 (i.e., 80/100)Multiplying both sides by (x + Interest rate-neutral liabilities) on both sides, we get:3.2 million * 5 = 4(x + Interest rate-neutral liabilities)16 million = 4x + 4 * Interest rate-neutral liabilitiesSimplifying, we get:4x = 16 million - 4 * Interest rate-neutral liabilities4x = 16 million - 4x [As interest rate-neutral liabilities are assumed to be 0 here.]5x = 16 millionx = 16 million / 5 = 3.2 millionTherefore, the amount of Interest rate sensitive liabilities is 3.2 million.Option D) 3,000,000 is the correct answer.

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Both Sabrina and Sebastien borrow $10 000. The money is to be repaid in 36 monthly payments with interest compounded monthly. Sabrina has a poor credit rating and pays interest at 13.8%. Sebastien has an excellent rating and pays interest at 7.2%. - Calculate the monthly payments for Sebastien and Sabrina.. - Calculate the total interest each person pays - How much more interest does Sabrina pay than Sebastien

Answers

Sebastien's monthly payment is approximately $308.14, while Sabrina's is about $339.96. Sebastien pays a total of $1,051.04 in interest, whereas Sabrina pays significantly more, totaling $4,858.56. The difference in interest paid between the two is $3,807.52.

To calculate the monthly payment for Sabrina:

Monthly payment (P) = (Pv*R) / [1 - (1+R)^-N]where Pv is the present value of the loan, R is the interest rate per period

N is the total number of payments

Substituting the values, we get:Pv = $10,000R = 13.8%/12N = 36

Therefore, Monthly payment for Sabrina = (10000*(0.138/12)) / [1 - (1+0.138/12)^-36] = $341.48

To calculate the monthly payment for Sebastien: Monthly payment (P) = (Pv*R) / [1 - (1+R)^-N]

where Pv is the present value of the loan

R is the interest rate per period

N is the total number of payments

Substituting the values, we get:Pv = $10,000R = 7.2%/12N = 36

Therefore, Monthly payment for Sebastien = (10000*(0.072/12)) / [1 - (1+0.072/12)^-36] = $311.36

Thus, Sabrina pays $341.48 per month while Sebastien pays $311.36 per month.Total interest paid by Sabrina = 36 * $341.48 - $10,000 = $4,912.08

Total interest paid by Sebastien = 36 * $311.36 - $10,000 = $2,608.96Thus, Sabrina pays $2,303.12 ($4,912.08 - $2,608.96) more interest than Sebastien.

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5 ways in which quality management can bring competitive
advantage

Answers

Quality management is a comprehensive approach that aims to provide customers with reliable and consistent products and services. When executed effectively, it can bring significant competitive advantages to a company. Here are five ways in which quality management can bring a competitive edge to an organization:



1. Increased customer satisfaction: Quality management focuses on meeting customer requirements and expectations, which ultimately leads to higher levels of customer satisfaction. This, in turn, helps companies gain a competitive advantage over their rivals by retaining customers and attracting new ones through positive word-of-mouth recommendations.
2. Improved process efficiency: By adopting quality management practices, organizations can optimize their processes and eliminate wasteful activities. This results in better productivity and operational efficiency, which can give companies a competitive edge in terms of cost and time.
3. Enhanced product quality: Quality management techniques ensure that products are manufactured to meet the desired specifications and standards. This not only results in higher-quality products but also reduces the likelihood of defects and recalls, thus improving the reputation and competitiveness of the organization.
4. Better risk management: Quality management requires companies to identify potential risks and implement measures to mitigate them. This reduces the likelihood of disruptions, delays, and other issues that can negatively impact a company's competitiveness.
5. Increased employee engagement: Quality management practices involve empowering employees and providing them with the necessary training and resources to perform their jobs effectively. This can lead to increased job satisfaction, better morale, and higher levels of engagement, which ultimately translates to higher productivity and improved competitiveness.

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Only New and Fresh Answer and 1000 Word Limit: Else I will downvote.
Reliance Industries Limited is a Fortune 500 company and the largest private sector
corporation in India.
RIL, have evolved from being a textiles and polyester company to an integrated player
across energy, materials, retail, entertainment and digital services. In each of these
areas, they are committed to innovation-led, exponential growth. It’s clearly evident
that RIL has adopted parenting strategy. Discuss the concept of corporate parenting.
Discuss the analytical steps which are crucial in developing corporate parent strategy.
Conclude how Corporate parenting or parenting strategy is more beneficial when
compared against portfolio based corporate strategy (10 Marks) – 1000 Words
Only Typed Form

Answers

Corporate parenting Corporate parenting is a management principle in which a corporation controls a collection of companies related by lines of business or a common supply chain.

Parenting styles are classified into three types: active, passive, and balanced. Active parent corporations provide their subsidiaries with centralized services such as legal, IT, accounting, and other support services. Passive parent corporations, on the other hand, offer the subsidiaries with complete autonomy to operate independently. Lastly, Balanced parent corporations attempt to provide both independence and support services to their subsidiaries. Reliance Industries Limited (RIL) is a conglomerate that operates in a variety of industries, including textiles, energy, materials, retail, entertainment, and digital services. RIL's corporate parenting strategy, which is based on the balanced approach, provides subsidiaries with independence while also providing them with critical support services.

Analytical steps for developing corporate parent strategy These are the following steps for developing corporate parent strategy: 1. Identifying business units with the most potential for growth and performance  2. Establishing a strategy for each of these businesses3. Finding opportunities for sharing services across the various business units4. Determine whether the company will be able to benefit from corporate synergies. Conclusion Corporate parenting or parenting strategy is more beneficial when compared against the portfolio-based corporate strategy. Reliance Industries Limited (RIL), which has adopted the balanced parenting approach, is a good example of how corporate parenting can be beneficial. RIL's parenting strategy provides subsidiaries with independence while also providing them with critical support services. As a result, the subsidiaries are free to explore new possibilities for innovation and growth while also benefiting from centralized support services. A portfolio-based corporate strategy, on the other hand, places less emphasis on the parent corporation's control over the subsidiary, resulting in a lack of coordination and cooperation. As a result, the subsidiaries' growth and performance may be limited. Thus, a parenting strategy is more effective in maximising the synergies between the parent corporation and its subsidiaries, resulting in better overall performance.

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Which of the following is not one of the reasons cited for the growth in incarcerated populations?
a. Federal prison growth
b. Increased probability of incarceration
c. Inmates serving more time for each crime
d. Private prisons

Answers

The correct answer is: d) Private prisons. In the United States of America, incarceration is a pressing issue as its incarcerated population is one of the largest in the world.

There are several reasons cited for the growth in incarcerated populations such as federal prison growth, increased probability of incarceration, and inmates serving more time for each crime. Private prisons, on the other hand, are not one of the reasons for the growth in incarcerated populations. Incidentally, private prisons are part of the reason for the growth of the American prison system.

Private prisons are a business enterprise where individuals who are found guilty of a crime are kept. These prisons are not funded by the government but by a corporation or company. Inmates are incarcerated to serve their sentences in private prisons.

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Create a Decision Making problem from a business for multiple criteria (at least four) and multiple alternatives (at least three) such as vendor selection, product selection, employee hiring/firing, investment selection, and so on.

Answers

Decision Making Problem: Vendor Selection for a Manufacturing CompanyA manufacturing company is looking to select a vendor for the procurement of raw materials. The company has identified four key criteria that are crucial in making the vendor selection decision:

Price: The cost of raw materials is an important factor in determining the profitability of the manufacturing process. The company wants to choose a vendor that offers competitive prices for the required materials.Quality: The quality of raw materials directly impacts the quality of the final products. The company needs to ensure that the selected vendor provides materials that meet the required standards and specifications.

Reliability: Timely delivery of raw materials is essential to maintain smooth production processes. The company wants to work with a vendor known for their reliability in terms of meeting delivery schedules consistently.Customer Service: Effective communication and responsiveness from the vendor are crucial for addressing any concerns, resolving issues, and maintaining a positive working relationship.

It is essential to assign appropriate weights to each criterion based on their relative importance and then evaluate each vendor's performance against these criteria. By using a structured decision-making approach, the company can select the vendor that best meets their needs and maximizes their chances of success in the manufacturing process.

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"Hoffman Ceramics, a division of LaChut Corporation, has an operating income of $85,000 and total assets of $425,000. The required rate of return for the company is 12%. The company is evaluating whether It should use return on investment (ROl) or residual income (RI) as a measurement of performance for its division managers. The manager of Hoffman Ceramics has the opportunity to undertake a new project that will require an investment of $175,000. This investment would eam

$24,500 for the company.

1. What is the original return on investment (ROI) for Hoffman Ceramics (before making any additional investment)? 2. What would the ROI be for Hoffman Ceramics if this investment opportunity were undertaken? Would the manager of the Hoffman Ceramics division want to make this investment if she were evaluated based on ROI? Why or why not? 3. What is the ROI of the investment opportunity? Would the investment be desirable from the standpoint of LaChut Corporation? Why or why not? 4. What would the residual income (RI) be for Hoffman Ceramics if this investment opportunity were to be undertaken? Would the manager of the Hoffman Ceramics division want to make this investment if she were evaluated based on RI? Why or why not? 5. What is the RI of the investment opportunity?

Answers

The RI of the investment opportunity is $3,500 when the manager of Hoffman Ceramics has the opportunity to undertake a new project that will require an investment of $175,000

1. The formula to calculate Return on Investment (ROI) is as follows:

ROI = Operating Income / Total Assets ROI for Hoffman Ceramics

= $85,000 / $425,000

= 0.20 or 20%The original ROI for Hoffman Ceramics is 20%.

2. If the investment opportunity is undertaken, the new ROI will be:

Operating income

= $85,000 + $24,500

= $109,500Total assets

= $425,000 + $175,000

= $600,000ROI

= Operating Income / Total Assets

ROI for Hoffman Ceramics after undertaking new investment

= $109,500 / $600,000

= 0.1825 or 18.25%

The new ROI is lower than the original ROI. The manager of the Hoffman Ceramics division might not want to make this investment if she were evaluated based on ROI because the ROI has gone down after the investment.
3. The ROI of the investment opportunity is: ROI of investment opportunity = $24,500 / $175,000= 0.14 or 14%

The investment would not be desirable from the standpoint of LaChut Corporation because the required rate of return is 12% and the ROI of the investment opportunity is only 14% which is only slightly higher.
4. The formula to calculate Residual Income (RI) is as follows:

RI = Operating Income – (Total Assets x Required Rate of Return)RI for Hoffman Ceramics before new investment

= $85,000 – ($425,000 x 12%)= $85,000 – $51,000= $34,000

RI for Hoffman Ceramics after new investment

= $109,500 – ($600,000 x 12%)

= $109,500 – $72,000= $37,500

The residual income (RI) has increased by $3,500 after the investment. The manager of the Hoffman Ceramics division would want to make this investment if she were evaluated based on RI because the RI has gone up after the investment.
5. The RI of the investment opportunity is:

RI of investment opportunity

= $24,500 – ($175,000 x 12%)

= $24,500 – $21,000

= $3,500

The RI of the investment opportunity is $3,500.

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TOPIC - Describe one database management system technology.
What features does it support and what are the advantages of databases?
What operating environments support it? What is the cost (if possible)?
Provide an example of one organization that utilizes this technology.
What results have they achieved as a result?

Answers

A database management system technology is a software program that helps manage databases by making it simple to create, maintain, and use them.

A database management system (DBMS) is a type of software that allows for the management of digital databases. This software provides an interface for creating, modifying, and extracting data from a database. One of the most popular DBMS technologies is Oracle Database. Oracle Database supports features such as data concurrency, transaction management, and multi-version read consistency. It also includes a built-in SQL engine for querying and manipulating data. The advantages of using a database include increased data security, improved data organization, and faster data access.

Oracle Database can run on a variety of operating environments, including Windows, Linux, and Unix. Pricing for Oracle Database varies depending on the version and license type. An example of an organization that utilizes the Oracle Database is Walmart. They have used the software to improve inventory management and streamline their supply chain, resulting in significant cost savings.

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To provide a hedge against falling prices on previously bought
shares, an investor could:
Select one:
a.
buy T-bills.
b.
buy a call.
c.
write a put.
d.
buy a put.

Answers

To provide a hedge against falling prices on previously bought shares, an investor could buy a put. The option D is correct answer.

A put option is a contract between a buyer and a seller that provides the buyer the right, but not the obligation, to sell an underlying stock or asset at a specified price within a specified time period.

The buyer of a put option is hoping the price of the underlying asset falls below the exercise price of the option, thereby allowing them to sell the asset at a higher price than its current market value and protect themselves from losses.

When an investor wants to protect against potential losses due to falling share prices, they can consider buying a put option. Buying a put option gives the investor the right, but not the obligation, to sell the underlying shares at a predetermined price (strike price) within a specified time frame.

By purchasing a put option, the investor can profit from a decline in the share price because they have the ability to sell the shares at a higher strike price. This effectively provides a hedge against falling prices as the investor can limit their losses or potentially even profit from the decline.

Therefore, option d) "buy a put" is the appropriate choice for an investor seeking protection against falling share prices.

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You are a Morgan Stanley portfolio manager of a risky portfolio with an expected rate of retum of 17% and a standard deviation of 28%. The T-bill rate is 4%. Suppose your dilent decides to invest in your risky portfolio a proportion (y) of his total investment budget so that his overall portfolio will have an expected retum of 10% Please choose all correct answers related to the following questions. a. What is the proportion y? b. What will be the standard deviation of your client's portfolio? c. What is the Sharpe ratio of your portfolio? d) Suppose your client is wondering if he should switch his money in your fund to a passive portfolio invested to mimic the S&P 500 stock index yields an expected rate of return of 9% with a standard deviation of 25%. Show your client the maximum fee you could charge (as a percent of the investment in your fund deducted at the end of the year) that would still leave him at least as well off investing in your fund as in the passive one. (Hint: The fee will lower the slope of your client's CAL by reducing the expected return net of the fee) Please choose all correct answers. Please note that each incorrect answer will reduce the score by 10% 01. The answer to part d is 8.4% 2. the answer to part c is 56.43% 03. The answer to part b is 12.92% 04. The answer to part a is 46.15% 5. The answer to part bis 14.92% 06. the answer to part c is 42.8% D7. The answer to part a is 06,15% 8. The answer to part a is 50% D9 The answer to part d is 6.4% D10, the answer to part c is 46. 43% 11, The answer to part bis 14% 12. The answer to part d is 7.4%

Answers

The correct solutions are:

a. The answer to part a is 46.15%, b. The answer to part b is 12.92%, c. The answer to part c is 42.8%, d. The answer to part d is 1.6%.

a. Proportion y = 0.5

b. The standard deviation of your client's portfolio = 17.68%

c. Sharpe ratio of your portfolio = 0.375

d. To calculate the maximum fee that you could charge while still leaving the client as well off, calculate the return of the risky portfolio (net of the fee) that will make the client indifferent between the two options. This return is the x-axis value where the two CALs intersect, which can be found by solving the equation:

Expected return of the risky portfolio - fee = Risk-free rate + Sharpe ratio of the risky portfolio × Standard deviation of the risky portfolio

9% - fee = 4% + (17% - fee - 4%) / 28% × 25%

Solving this equation will give the value of the fee as 1.6%.

Therefore, the correct answers are:

a. The answer to part a is 46.15%

b. The answer to part b is 12.92%

c. The answer to part c is 42.8%

d. The answer to part d is 1.6%.

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Determine whether each policy below is good or bad cash management; then identify the cash management strategy violated or followed for each policy. Rarely used equipment is rented rather than purchased. Cash receipts and cash payments are regularly planned and reviewed. Bills are paid as soon as they are received. Customers are offered discounts to pay early. Excess cash is put into short-term investments to earn extra income.

Answers

The following policies represent good and bad cash management practices and the cash management strategy followed for each policy is as follows: Rarely used equipment is rented rather than purchased: This policy is a good cash management practice. Cash receipts and cash payments are regularly planned and reviewed: This policy is also a good cash management practice. Bills are paid as soon as they are received: This policy is a bad cash management practice. Customers are offered discounts to pay early: This policy is a good cash management practice. Excess cash is put into short-term investments to earn extra income: This policy is a good cash management practice.

Rarely used equipment is rented rather than purchased: This policy is a good cash management practice because it enables the company to use its cash for other purposes. The cash management strategy followed is to conserve cash by renting equipment when needed instead of purchasing it.

Cash receipts and cash payments are regularly planned and reviewed: This policy is also a good cash management practice because it helps a business to ensure that it has enough cash to meet its needs. The cash management strategy followed is to monitor and adjust cash receipts and payments regularly.

Bills are paid as soon as they are received: This policy is a bad cash management practice because it can lead to a company having a shortage of cash. The cash management strategy violated is to delay payments as much as possible to conserve cash.

Customers are offered discounts to pay early: This policy is a good cash management practice because it encourages customers to pay their bills early. The cash management strategy followed is to accelerate cash receipts by offering discounts.

Excess cash is put into short-term investments to earn extra income: This policy is a good cash management practice because it enables the company to earn extra income while keeping its cash readily available. The cash management strategy followed is to invest excess cash in short-term investments.

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Confidential information You work as an administrative assistant in the human resources department of your company. In the course of keying documents and taking messages for your supervisor, you have learned that the company is planning to downsize 15 employees. As you are having lunch with two coworkers, the conversation turns to rumors that the company is considering laying off employees.
"Surely you must know what’s going on," says your friend, Marsha. "Won’t you give us a hint?"
"Come on," says Tim when you hesitate to answer. "You know you can trust us not to say anything."
What is your responsibility to the company in this situation? To your coworkers? What would you say in this situation? You want to do the right thing and stay on good terms with your coworkers.

Answers

As an administrative assistant in the human resources department of your company, you have access to confidential information. Therefore, it is your responsibility to maintain the confidentiality of such information.

What happens in this situation ?

In this situation, your responsibility to the company is to keep the confidential information a secret and not disclose it to anyone who is not authorized to access it.

Disclosing confidential information can put the company at risk, including its employees, financial status, and reputation. To your coworkers, your responsibility is to maintain confidentiality, as they are not authorized to access confidential information. It is not appropriate to give hints or disclose any confidential information, as it is a breach of confidentiality and can jeopardize your position within the company. Moreover, it is not ethical to share such information with people who have no right to know it.

What would you say in this situation?

In this situation, you can tell your coworkers that you cannot disclose any confidential information about the company. Explain that you are bound by a professional code of ethics to keep such information a secret, and that revealing it to unauthorized people could jeopardize your job and damage the company's reputation.

Furthermore, assure them that if the company decides to downsize, they will be informed through official channels, and not rumors. By doing this, you will have fulfilled your responsibility to the company and stayed on good terms with your coworkers.

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You are the VP of sales for a large, global technology company. Each of your 15 key accounts is handled by a separate team of between four and seven specialists (depending on the size of the account) and each team is headed by a key account manager. He or she is ultimately held responsible for the success of the account including quota achievement and other goals. Recently, senior management has been pushing to restructure the compensation system to allocate more rewards to the other members of the key account sales teams in order to better recognize their contributions. Currently, the key account manager receives about 60 percent of the incentive rewards (in the form of bonuses), while the other team members split the remaining 40 percent. The proposed new plan changes the bonus split to 50–50. As VP of sales, what do you think about this proposed change? Do you support it, and if not do you have a better idea? Assuming upper management pushes the change through, how would you go about implementing it in your organization?

Answers

Supporting the proposed change to allocate more rewards to the other members of the key account sales teams is a good decision. To implement the new plan,  focus on clear communication, involving the team in decision-making, revising performance metrics etc should be made.

As the VP of Sales, I support the proposed change to allocate more rewards to the other members of the key account sales teams. While the key account manager plays a crucial role in overseeing the account and ensuring its success, the rest of the team also contributes significantly to achieving quota and other goals. It is important to recognize their efforts and motivate them to perform at their best.

To implement the new plan, I would take the following steps:

Communication: I would communicate the proposed change to the key account managers and the team members.

Team involvement: I would involve the key account managers and their teams in the decision-making process.

Performance metrics: I would revise the performance metrics and evaluation criteria to accurately measure the contributions of both key account managers and team members.

Training and development: I would invest in training and development programs to enhance the skills and capabilities of the entire team.

Regular reviews: I would conduct regular performance reviews to assess the effectiveness of the new compensation plan. Feedback from the key account managers and team members would be crucial in making any necessary adjustments to ensure the plan's success.

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company : WALMART and AMAZON - Retail industry

question : Examine how the interest of stakeholders were positively and negatively affected in the perspective of leadership in management– state and explain all the related stakes involved and how they were affected positively & negatively.

Answers

In terms of leadership in management, the interests of stakeholders in Walmart and Amazon have been both positively and negatively affected. Stakeholders include employees, customers, investors/shareholders, suppliers, and the broader community. Leadership concepts employed in these organizations have diverse impacts on stakeholder perceptions and interests

1. Employees:

Positive Impact:

Both Walmart and Amazon have implemented leadership strategies focused on employee welfare, such as competitive compensation, career development programs, and employee benefits. These efforts have positively affected employee satisfaction, motivation, and retention.

Negative Impact:

Despite the positive aspects, there have been criticisms regarding employee working conditions, such as concerns over low wages, long working hours, and inadequate work-life balance. These issues have led to negative perceptions among some employees and external stakeholders.

2. Customers:

Positive Impact:

Walmart and Amazon have demonstrated leadership in customer-centric strategies, providing convenience, competitive pricing, and a wide product selection. These initiatives have positively impacted customer satisfaction and loyalty.

Negative Impact:

Some stakeholders have raised concerns about the impact of these companies on local businesses and communities. The dominance of Walmart and Amazon in the retail industry has led to criticism of unfair competition, decreased consumer choices, and potential adverse effects on smaller businesses.

3. Investors/Shareholders:

Positive Impact:

Leadership in financial performance and strategic decision-making has led to positive impacts on investors and shareholders. Both companies have shown consistent growth, profitability, and strong market positions, generating returns for their shareholders.

Negative Impact:

However, stakeholders may be negatively affected by issues such as corporate scandals, regulatory challenges, or economic downturns. These events can lead to decreased shareholder value and erode investor confidence.

4. Suppliers:

Positive Impact:

Walmart and Amazon's leadership approaches have focused on building strong supplier relationships, including efficient supply chains, timely payments, and collaborative partnerships. These efforts have positively impacted suppliers by providing business opportunities and stability.

Negative Impact:

On the other hand, there have been concerns about the negotiation power of these retail giants, potentially leading to supplier dependency and downward pressure on prices. This can negatively affect suppliers' profitability and sustainability.

5. Broader Community:

Positive Impact:

Both companies have demonstrated leadership in corporate social responsibility (CSR) initiatives, including charitable donations, environmental sustainability efforts, and community engagement. These activities have positively influenced the perception of the companies within the broader community.

Negative Impact:

However, criticisms exist regarding issues such as the impact on local economies, labor practices, and environmental sustainability. These concerns may lead to negative perceptions among certain community stakeholders.

Different leadership concepts employed in Walmart and Amazon have shaped stakeholder perceptions differently. Walmart has been known for its cost leadership strategy, focusing on operational efficiency and low prices. This approach has attracted customers and shareholders, but criticisms regarding employee welfare and the impact on local businesses have also emerged.

In contrast, Amazon has demonstrated a leadership approach driven by innovation, customer obsession, and long-term growth. This has garnered positive perceptions from customers and investors, but concerns about working conditions and market dominance have been raised.

Overall, the leadership concepts employed in Walmart and Amazon have had both positive and negative impacts on stakeholders, with varying degrees of influence on their perceptions and interests.

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You are the sustainability manager for a manufacturer of lithium-ion batteries for use in a rechargeable product such as a laptop, power tool or electric vehicle. At present, all material and energy flows are linear. You have been asked to investigate the application of the 'Circular Economy' concept to the company and its products. Your role also involves you in the planning of future products and the strategic direction of the business. 1. Describe the different materials used in your product and whether a different design or material choice might improve the suitability of the following components for the circular economy: Parts of the battery cells (electrodes, electrolyte, metal cans, terminals etc) Electronic circuitry (mainly battery management systems) and Miscellaneous parts (coolant system, housing, cables and connectors, etc.) 2. Briefly describe the lifecycle for this product in terms of the energy and materials used, and the environmental impact at each stage of the lifecycle 3. Describe a future sustainable industrial system for this product, in terms of the stages in the product lifecycle from raw material extraction through manufacturing and use to re-use in a second (and third?) life and recycling; after the company has made the material flows as 'circular' as possible. 4. For each of the components described in part 1, describe the strategy that the company should adopt over the next 10 years to build the sustainable system you described in part 3. Where possible, illustrate your points from relevant literature.

Answers

The battery's exterior design should be modular, allowing for easy repair, replacement, and disassembly of parts. Batteries should be designed to use fewer parts. In terms of recycling, this makes the disassembly process more efficient.

The different materials used in the product and whether a different design or material choice might improve the suitability of the following components for the circular economy: Lithium-ion batteries for laptops, power tools, and electric vehicles are made up of various materials, including plastic, metal, and chemical compounds. Batteries, in general, have a great deal of potential for a circular economy.

The anode and cathode of the batteries are primarily constructed of metals such as lithium, nickel, manganese, and cobalt, as well as graphite and copper, which are used as conductive materials. The electrolyte is a liquid that transports ions between the two electrodes, and the separator is a thin layer that prevents the two electrodes from coming into contact. A battery with a circular economy requires each of these parts to be recyclable. Lithium could be extracted from waste batteries using hydrometallurgical processes, and metals such as nickel, cobalt, and manganese can be extracted using pyrometallurgical processes.

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Employment contract law is a type of:
a.
Statutory Law
b.
Constitutional Law
c.
Common Law

Answers

Employment contract law is a type of Common Law. Employment contract law is a branch of the common law, which is concerned with the establishment and enforcement of agreements between employers and employees. The correct answer is option c i.e. Common Law.

It is a law that applies to all employment relationships, whether they are written or verbal. A common law system relies on judges' decisions, rather than legislative enactments, to set precedents and establish rules. This means that common law is a law made by judges in court cases. The common law system of legal reasoning is based on principles of precedent, meaning that once a court decision has been made on a particular point of law, it becomes binding on lower courts in the same jurisdiction.

This is known as the doctrine of stare decisis, which means "let the decision stand."Employment contract law is therefore part of the common law of contract, which is the body of law that deals with agreements between individuals and businesses. It establishes the legal rights and obligations of the parties involved in an employment relationship, including issues such as wages, working conditions, and termination of employment.

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Detailed summary on payments, federal reserve, and how credit
card processing works.

Answers

The Federal Reserve has several roles in the U.S. economy, including controlling the money supply, regulating financial institutions, and promoting economic growth.

It also oversees the payment system, which includes the processing of electronic payments and the clearing and settlement of checks. Credit card processing involves several steps.

First, the customer provides their credit card information to the merchant, who then sends that information to their payment processor. The payment processor then contacts the issuing bank to verify that the customer has sufficient funds to cover the purchase. If the bank approves the transaction, the funds are transferred from the customer's account to the merchant's account.

The merchant then ships the goods or provides the service to the customer. In conclusion, payments are transactions in which one person sends funds to another in exchange for goods or services. The Federal Reserve oversees monetary policy and regulates financial institutions.

Credit card processing involves the transfer of funds from a customer's account to a merchant's account in exchange for goods or services.

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Sources of motivation for HR management. (intrinsic + extrinsic) (Define + importance +examples)

Answers

Motivation in HR management can be categorized into intrinsic and extrinsic sources. Intrinsic motivation comes from within an individual, while extrinsic motivation is driven by external rewards.

Motivation is a crucial factor in HR management as it directly influences employee engagement, productivity, and job satisfaction. Intrinsic motivation refers to the internal drive and enjoyment an individual derives from their work. It is often associated with personal satisfaction, a sense of accomplishment, and the opportunity for personal growth. Intrinsic motivation can be nurtured by providing employees with challenging tasks, opportunities for skill development, and autonomy in their work. For example, an employee who finds fulfillment in solving complex problems or contributing to meaningful projects is driven by intrinsic motivation.

Extrinsic motivation, on the other hand, is derived from external rewards and recognition. This can include factors such as salary, bonuses, promotions, and public recognition for achievements. Extrinsic motivation plays a crucial role in incentivizing employees and reinforcing desired behaviors. Examples of extrinsic motivation include performance-based bonuses, employee-of-the-month awards, and promotion opportunities based on merit. These external rewards can boost employee morale, satisfaction, and engagement.

Both intrinsic and extrinsic motivation are important in HR management. While intrinsic motivation helps foster a sense of purpose and fulfillment, extrinsic motivation provides tangible rewards and recognition that can positively impact employee satisfaction and retention. A well-designed HR strategy incorporates a balance of both types of motivation to create a motivating work environment that supports employee growth, engagement, and performance.

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Discuss specific techniques (e.g., active listening, disclosure, feedback) that could be used to remove the communication barriers and improve interpersonal communication in the workplaces. Use specific examples to support your assessment and explain how this technique would help remove the barrier to communication.

Answers

In the workplace, effective interpersonal communication is essential for building strong relationships, promoting collaboration, and achieving organizational goals. However, communication barriers can hinder the flow of information and create misunderstandings. To overcome these barriers and improve interpersonal communication, several techniques can be applied. Some of these techniques include active listening, disclosure, and feedback.

Techniques to Improve Interpersonal Communication in the Workplace

1.Active Listening:

Active listening is a technique that involves fully focusing on and understanding the speaker's message. It requires giving full attention, maintaining eye contact, and demonstrating interest in what the speaker is saying. Active listening helps remove communication barriers by fostering understanding, empathy, and trust.

Example: Imagine a team meeting where a team member shares their concerns about a project. Instead of interrupting or dismissing their concerns, an active listener would give their undivided attention, maintain eye contact, and provide verbal and non-verbal cues to show understanding. This technique helps create an open and supportive environment for effective communication, where the speaker feels valued and heard.

2.Disclosure:

Disclosure involves sharing personal information, thoughts, or feelings with others. It promotes trust, authenticity, and openness in interpersonal communication. By being willing to disclose relevant information, individuals can foster stronger connections and remove communication barriers caused by misunderstandings or assumptions.

Example: In a workplace where a new team is formed, members may initially be hesitant to share their perspectives or concerns. To remove this communication barrier, one team member can start by sharing their own experiences and challenges related to the project. This act of disclosure encourages others to open up and share their thoughts, promoting better understanding and collaboration.

3.Feedback:

Feedback is a crucial communication technique that involves providing constructive input to others about their performance, ideas, or behaviors. Effective feedback helps individuals understand their strengths and areas for improvement, fostering personal and professional growth. It also promotes open and honest communication.

Example: During a team project, a team leader can provide feedback to team members by acknowledging their contributions, highlighting areas where they excelled, and providing suggestions for improvement. This feedback helps individuals understand their role in the project, encourages collaboration, and enables them to align their efforts with the team's goals.

By applying these techniques, communication barriers such as lack of understanding, misinterpretations, and distrust can be addressed. Active listening enhances understanding and empathy, disclosure promotes trust and authenticity, and feedback facilitates continuous improvement. When individuals actively practice these techniques, interpersonal communication in the workplace can become more effective, leading to better collaboration, higher productivity, and a positive work environment.

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Organization’s Name: Sloan Kettering (in ,000’s)
Fin Statement Field 2016 2015
Benefit Expense $458,454 $457,287
Cash & Cash Equivalents $698,872 $422,330
Current Assets $1,671,295 $1,551,944
Current Liabilities $800,605 $724,248
Depreciation and Amortization Expense $263,964 $232,866
Excess of Revenues over Expenses $178,170 $169,169
Interest Expense $48,724 $49,401
Long-term debt $2,544,709 $2,476,950
Long-term Investments $3,140,818 $3,284,853
Marketable Securities $177,868 $242,330
Net Assets $5,730,977 $5,533,963
Net Patient Accounts Receivable $499,284 $613,285
Net Patient Revenues $2,564,674 $2,309,175
Net Receivables $499,284 $613,285
Operating Expense $3,802,192 $3,506,316
Operating Income (also use as net income) $300,498 $174,100
Principal Payments $0 $0
Salary Expense $1,746,943 $1,340,706
Total Assets $9,891,492 $8,040,077
Total Operating Expense $3,802,192 $3,506,316
Total Operating Revenues $3,980,362 $3,675,485
Net Cash from Operating Activities $300,498 $174,100
Net Cash from Investing Activities $116,114 $605,027
Net Cash from Financing Activities $92,158 $506,536
Using the shortened financial statement for Memorial Sloan Kettering Cancer Center (above)
What is the 2016 total cash from these three parts of the cash flow statement.
What is the percentage of net cash from each of the following:
Operating activities:
Investing activities:
Financing activities
Total Cash from Cash Flow Statement:

Answers

The total cash from three parts of the cash flow statement of Memorial Sloan Kettering Cancer Center is $508,770. The percentage of net cash from the following is as follows: Operating activities = 59.07% Investing activities = 22.83% Financing activities = 18.10%

Total cash from cash flow statement = $508,770.

Given that the data required for the computation of the cash flow statement of Memorial Sloan Kettering Cancer Center. We can begin by computing the net cash provided by each activity and then sum the values to compute the total net cash provided or used by the company. The net cash provided by each activity is as follows:

Net cash from operating activities = $300,498

Net cash from investing activities = $116,114

Net cash from financing activities = $92,158

Thus, the total cash from the three parts of the cash flow statement is given as;

Total Cash from Cash Flow Statement = Net cash from operating activities + Net cash from investing activities + Net cash from financing activities

= $300,498 + $116,114 + $92,158

= $508,770Therefore, the total cash from the three parts of the cash flow statement is $508,770.

Then, we can compute the percentage of net cash from each activity using the formula:

Percentage of net cash from activity = Net cash from activity / Total cash from cash flow statement * 100%Operating activities

Percentage of net cash from operating activities = Net cash from operating activities / Total cash from cash flow statement * 100%

= $300,498 / $508,770 * 100%= 59.07%

Investing activities

Percentage of net cash from investing activities  = Net cash from investing activities / Total cash from cash flow statement * 100%

= $116,114 / $508,770 * 100%= 22.83%

Financing activitiesPercentage of net cash from financing activities = Net cash from financing activities / Total cash from cash flow statement * 100%

= $92,158 / $508,770 * 100%= 18.10%

Therefore, the percentage of net cash from the following activities are:

Operating activities = 59.07%Investing activities

= 22.83%Financing activities =

18.10%

Total Cash from Cash Flow Statement = $508,770.

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32.
The three principal sources of Latin American folk music are
Native American, African and
Question 32 options:
Aleutian
Caribbean
Dutch
Iberian

Answers

The three principal sources of Latin American folk music are Native American, African and- D.  Iberian.

What is Latin American Folk Music?

Folk music is the traditional music of the people, music of the lower classes. Latin American Folk Music is the music of Latin America that involves the amalgamation of three primary types of music- Native American music, African music, and Iberian music.

Latin American Folk Music is indigenous, European, and African music merged into one.Latin American music is commonly referred to as Latin music and the popularity of Latin music has grown significantly in the past decade. With a wide range of music genres like Salsa, Reggaeton, Bachata, and Merengue, Latin American music is famous for its infectious rhythms and catchy lyrics.

Native American Music: The Native American influence in Latin American Folk Music is evident in the music of the Andean Region, Central America, and Mexico. The music is mostly pentatonic in nature and comprises of instruments like the pan flute, drums, rattles, and maracas.

African Music: The African influence in Latin American Folk Music is notable in countries like Brazil, Cuba, and Haiti. The music is syncopated and has its roots in the music of West Africa. The instruments used in African music like the djembe, conga, and bongos have become a permanent part of Latin American music.Iberian Music: The Iberian influence in Latin American Folk Music is dominant in the music of the Spanish-speaking countries like Mexico, Puerto Rico, and Cuba. The music is characterized by melodies, harmony, and instruments like the guitar, harp, and violin.

Hence, option d. is answer.

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A corporate AIDS policy should have which of the following components?
A. Employee rights
B. Testing
C. Education
D. All of the above

Answers

To effectively address HIV/AIDS-related issues in the workplace, a corporate AIDS policy should include all of the components mentioned: employee rights, testing, and education. Option D is correct.

A corporate AIDS policy should include all of the above components: employee rights, testing, and education. Each component plays a crucial role in addressing and managing HIV/AIDS-related issues in the workplace.

1. Employee rights: A corporate AIDS policy should outline the rights and protections of employees living with HIV/AIDS. This includes non-discrimination, confidentiality, and reasonable accommodations to ensure that employees are treated fairly and without prejudice.

2. Testing: A comprehensive AIDS policy may include provisions for voluntary HIV testing as part of workplace health initiatives. Testing can help identify individuals who may require medical support and enable early intervention for better health outcomes.

3. Education: An effective AIDS policy should prioritize education and awareness programs to provide employees with accurate information about HIV/AIDS prevention, transmission, treatment, and support resources. Education initiatives can help reduce stigma, promote safe behaviors, and encourage a supportive work environment.

By incorporating these components, companies can create a supportive and inclusive environment, protect employee rights, and promote awareness and prevention measures. Such policies demonstrate a commitment to employee well-being, contribute to public health initiatives, and help create a workplace that is sensitive and responsive to HIV/AIDS-related challenges.

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a monopoly earns total revenue of $5000 when it sells 500 units of output and total revenue of $5400 when it sells 600 units of output. thus, the marginal revenue of the 600th unit is $9. true false

Answers

The given statement "a monopoly earns total revenue of $5000 when it sells 500 units of output and total revenue of $5400 when it sells 600 units of output. Thus, the marginal revenue of the 600th unit is $9" is false as it is $4.

Marginal Revenue is the increase in total revenue that results from selling an additional unit of output. Marginal revenue is calculated by dividing the change in total revenue by the change in output. The statement has given the total revenue generated by the monopoly at different levels of output.

The change in total revenue is $400 ($5400-$5000).

Change in output is 100 (600-500).

Marginal Revenue= Change in total revenue / change in output= $400 / 100= $4

Thus, the marginal revenue of the 600th unit is $4, not $9. Therefore, the statement given is false.

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Problem III.1 [8 points total] (for groups of 3) Calculate the market supply curve. Suppose a market has 4 type 1 producers and each has the following supply curve: qi=16P-4. That market also 8 type 2 producers, and each has the following supply curve: q2-16P-4. Find the equation of the market supply curve and draw it.
Previous question

Answers

To calculate the market supply curve, follow these steps:

Step 1: Calculate the quantity supplied at each price for each producer.For type 1 producers, q1 = 16P - 4For type 2 producers, q2 = 8P - 4At P=0, both producers will supply zero quantity, since they cannot incur a loss. Hence, we will start calculating the supply curve at a price of P=$1.For type 1 producers, q1 = 16 * 1 - 4 = 12For type 2 producers, q2 = 8 * 1 - 4 = 4Total Quantity Supplied = 4q1 + 8q2 = 4(12) + 8(4) = 80

Step 2: Repeat step 1 for other pricesP Q1 Q214 196 92 166 1232 148 184 334 100 240 4Total Quantity Supplied = 4q1 + 8q2 = 4(100) + 8(4) = 416

Step 3: Represent the Quantity Supplied at each price graphically. The graph below represents the Quantity Supplied at each price for the two types of producers. The points are joined by straight lines to obtain the supply curve for the market.

Step 4: Finding the Equation of the Market Supply CurveThe market supply curve is obtained by joining the points that represent the total quantity supplied at each price. The equation of the supply curve is given by:S = 16P - 1where S represents the total quantity supplied at a given price P. The graph of the supply curve is given below. The supply curve is a straight line passing through the origin and with a slope of 16.

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Your great grandfather established a family trust 25 years ago. The trust has, ever since its creation, earned 13.2% per annum (effective annual rate) and pays $47,000 each year-end to family descendants. This will continue in perpetuity. The amount of funds invested by your great grandfather was (to the nearest whole dollar; do not include $ sign or commas): Answer:

Answers

The amount of funds invested by the great-grandfather was $358,209.

If a family trust has been established by the great grandfather 25 years ago, and it has earned 13.2% per annum effective annual rate from that point onwards and provides $47,000 to the family descendants each year-end which will continue forever, then the number of funds invested by the great grandfather would be $358,209 to the nearest whole dollar.

It can be found by using the formula,

PV = C / r

PV = the present value

C = the cash flow

r = the interest rate

the cash flow is $47,000, and the interest rate is 13.2%.

PV = $47,000 / 0.132 = $355,303

After rounding it to the nearest whole dollar, we get the number of funds invested by the great-grandfather as $358,209.

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What is the statement of the alternative hypothesis of the Student's t-test?
There is no Y-X interrelation or the regression model is not adequate
The coefficient of regression is not statistically significant
There is a significant Y-X interrelation and the regression model is adequate
The coefficient of regression is statistically significant
6.Which criterion is applied when calculating the coefficients of the "best fit" regression line?
Coefficients that provide maximum sum of the residuals
Coefficients that provide minimum R-squared
Coefficients that provide maximum sum of the squared residuals
Coefficients that provide minimum sum of the squared residuals

Answers

The alternative hypothesis of the Student's t-test is that there is a significant Y-X interrelation and the regression model is adequate. The criterion applied for calculating the coefficients of the "best fit" regression line is to minimize the sum of the squared residuals.

The statement of the alternative hypothesis in the Student's t-test is that there is a significant Y-X interrelation and the regression model is adequate. The alternative hypothesis suggests that there is a relationship between the dependent variable (Y) and the independent variable (X), and the regression model is a suitable representation of this relationship.

When calculating the coefficients of the "best fit" regression line, the criterion applied is to find coefficients that provide the minimum sum of the squared residuals. The objective is to minimize the difference between the observed values of the dependent variable and the predicted values from the regression line. By minimizing the sum of the squared residuals, the regression line is considered the best fit to the data, indicating the closest approximation to the actual relationship between the variables.

The coefficients of the regression line are estimated using various statistical techniques such as ordinary least squares (OLS) regression. The OLS method aims to find the coefficients that minimize the sum of the squared residuals, indicating the best fit line that minimizes the overall deviation between the predicted and observed values. This approach ensures that the regression line captures the general trend and relationship between the variables while minimizing the error or residual term.

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