In a weighted moving average, the weights assigned must sum to One. TRUE/FALSE

Answers

Answer 1

The statement is True. In a weighted moving average, the weights assigned must sum to one.

In a weighted moving average, the values in the time series are multiplied by different weights before calculating the average. These weights reflect the importance or significance assigned to each data point. It is necessary for the weights assigned to each value to sum up to one for the calculation to be accurate.

The purpose of assigning weights in a weighted moving average is to give more importance to certain data points and less importance to others based on their significance or relevance. The weights determine the relative contribution of each data point to the overall average, and their summing to one ensures that the average is appropriately weighted and balanced.

If the weights do not sum up to one, the resulting average may be distorted or biased. It is essential to maintain the proportionality of the weights to preserve the integrity and accuracy of the weighted moving average calculation.

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based on the following information, compute cash flows from financing acitviites. ddividiedns paid 700

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The cash flows from financing activities under GAAP are $1,140.

To compute the cash flows from financing activities under GAAP (Generally Accepted Accounting Principles), we need to consider the provided information:

Purchase of investments: $230

Dividends paid: $1,180

Interest paid: $380

Additional borrowing from the bank: $2,700

Cash flows from financing activities can be calculated by summing up the inflows and outflows related to financing activities. In this case:

Cash flows from financing activities = Additional borrowing from the bank - Dividends paid - Interest paid

= $2,700 - $1,180 - $380

= $1,140

Therefore, the cash flows from financing activities under GAAP are $1,140.

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Full Question: Based on the following information, compute cash flows from financing activities under GAAP Purchase of investments Dividends paid Interest paid Additional borrowing from bank $ 230 1,180 380 2,700 Cash Flows from Financing Activities

would fiscal policy makers ever have reason to worry about potentially inflationary conditions?

Answers

Yes, fiscal policy makers can have reasons to worry about potentially inflationary conditions.

Fiscal policy refers to the use of government spending and taxation to influence the economy.

If fiscal policy is expansionary, characterized by increased government spending and/or reduced taxes, it can stimulate aggregate demand and economic growth. However, if the economy is already operating at or near its full capacity, such expansionary fiscal policy can lead to excessive demand, resulting in inflationary pressures.

Inflation occurs when there is a sustained increase in the general price level of goods and services. It erodes the purchasing power of money, reduces the standard of living, and can create economic instability. Therefore, fiscal policy makers need to be cautious about the potential inflationary impact of their policy decisions.

Fiscal policy makers may monitor various indicators such as the consumer price index (CPI), producer price index (PPI), wage growth, capacity utilization, and inflation expectations to assess the risk of inflation.

If they observe signs of inflationary pressure, they may adjust fiscal policy accordingly, implementing contractionary measures such as reducing government spending or increasing taxes to cool down the economy and mitigate inflationary risks.

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1. Explain and discus four Element of contract.? ​

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Four elements of contracts include:

OfferAcceptanceConsiderationMutual Intent

What are the elements of contracts ?

At the inception of a contractual arrangement, an offer emanates as the initial manifestation of willingness by one party, known as the offeror, to engage in a contractual entente with another party, known as the offeree.

The notion of acceptance denotes the offeree's unequivocal agreement to the terms set forth in the original offer.  Consideration represents the crux of the contractual nexus, encompassing the exchange of something of value between the contracting parties.

The cornerstone of mutual intent lies in the shared comprehension and concurrence between the parties to forge a legally binding relationship.

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A decrease in production costs will lead to _____.a. a right shift of the demand curve for this good.b. no change of the supply curve.c. a rightward movement along the supply curve.d. a right shift of the supply curve.

Answers

Answer:

The answer is A

a right shift of the demand curve

the process of importing goods and services for the purpose of re-export is known as

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The process of importing goods and services for the purpose of re-export is known as "re-exporting" or "entrepot trade."

In this process, a country imports products, often without modifying them, and then exports them to other countries. The primary goal of re-exporting is to capitalize on the difference in prices between the originating country and the destination country. Re-exporting can provide various benefits, such as taking advantage of trade agreements, better distribution channels, and increased market access. By engaging in re-exporting, businesses can avoid certain tariffs and taxes, minimize transportation costs, and better serve customers in the target market. To summarize, re-exporting involves the importation of goods and services and their subsequent export to other countries without significant modification. This practice aims to capitalize on price differences between countries, optimize distribution channels, and access new markets more effectively.

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assume that the kelso company operates in an industry for which nol carryback is allowed. the kelso compan had the following operating rsults.
Year 2019 2020
2021 Income (loss) 36,000 48,000 (63,000) Tax rate 35% 30% 25% Income tax 12,600 first year of operations 14,400 0
What is the income tax refund receivable? Multiple Choice a.$20,700 b.$25,200. c.19.950. d.$19,200.

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20700 is receivable in an income tax refund.

An Income tax is levied against people or organizations based on their earnings. Income tax is frequently calculated by multiplying tax rates by taxable income. Different income kinds and taxpayer types may have various tax rates.

Governments levy income tax, a specific kind of tax, on money made by people and businesses under their control. Public services, debt service, and the provision of commodities for residents are all covered by income tax revenue.

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what process determines how much money the buyer needs to bring to closing?

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The process that determines how much money the buyer needs to bring to closing is known as the closing disclosure or the final settlement statement.

This document outlines all the expenses associated with the real estate transaction, including the down payment, closing costs, prorated taxes, and prepaid expenses. The lender will typically provide the buyer with this document at least three days before the scheduled closing date.

The buyer should carefully review the closing disclosure to ensure that all the charges are accurate and request clarification or corrections if necessary. If the buyer is obtaining a mortgage, the lender will also provide a loan estimate at the beginning of the application process, which outlines the estimated costs associated with the loan.

However, the closing disclosure provides a more accurate breakdown of the actual expenses. In summary, the process of determining how much money the buyer needs to bring to closing involves reviewing the closing disclosure and ensuring that all the charges are accurate and accounted for.

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the primary reason that borrowers were attracted to cmbs financing is

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The primary reason that borrowers were attracted to CMBS (Commercial Mortgage-Backed Securities) financing is the potential for accessing larger loan amounts with favorable terms.

CMBS provides a way for lenders to pool commercial mortgage loans and convert them into tradable securities.

This allows borrowers to tap into a larger pool of capital from investors in the secondary market. CMBS financing offers advantages such as long-term fixed interest rates, non-recourse loans, and flexibility in terms of property types and loan sizes.

Borrowers are attracted to CMBS financing because it provides access to competitive interest rates, broader investor participation, and the potential for increased liquidity in the commercial real estate market.

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what term represents the dollar value of a single credit on a slot machine? group of answer choices a. credit b. denomination c. jackpot payout % d. blackjack

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The term that represents the dollar value of a single credit on a slot machine is "denomination". Correct answer is b. denomination.

This refers to the value of each individual credit that is used to play a slot machine. For example, if the denomination is set at $0.25, then each credit will be worth $0.25. This means that if you insert $10 into the machine, you will receive 40 credits to play with. The denomination can vary from machine to machine and can range from just a few cents up to several dollars per credit. It is important to note that the denomination does not affect the odds of winning, but it does impact the amount that you can potentially win on each spin. This is different from blackjack, which is a card game and not related to slot machines.
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what is a possible consequence of using broad averaging to calculate unit costs?

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One possible consequence of using broad averaging to calculate unit costs is that it may lead to inaccurate or imprecise cost estimations.

This is because broad averaging involves taking a general average of costs across different units or products, which may not necessarily reflect the true cost of each individual unit or product. As a result, there may be significant variations in cost estimates, which could impact decision-making and resource allocation. Additionally, using broad averaging may mask cost inefficiencies or inconsistencies that could be identified through more detailed cost analysis. Therefore, it is important to consider the potential drawbacks of using broad averaging and to utilize more precise and detailed cost calculation methods where possible.

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roberto is always looking for a bargain and frequently visits the meat department to see the markdowns for meat dated to be sold that day. he finds a signage there stating a half-price sale. this signage is an example of blank signage.

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The signage Roberto encounters in the meat department stating a half-price sale is an example of promotional signage.

Promotional signage is designed to attract customers' attention and inform them about special offers, discounts, or sales. In this case, the signage aims to highlight the half-price sale, indicating a significant reduction in the price of the meat items that are dated to be sold on that day.

It serves as a visual cue to entice customers like Roberto, who is actively seeking bargains, to take advantage of the discounted prices and make a purchase. Promotional signage plays a crucial role in driving customer engagement and boosting sales by creating a sense of urgency and value for potential buyers.

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why might it not be in the best interests of a company to offer very high wages?

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Offering very high wages may not be in the best interests of a company for several reasons:

Increased Costs: High wages can significantly increase labor costs for a company. This can negatively impact profitability, especially if the company operates in a highly competitive industry with narrow profit margins. It may become financially unsustainable to maintain high wage levels without corresponding increases in productivity or revenue.

Reduced Profit Margins: High wages can lead to lower profit margins if the increased labor costs are not offset by increased productivity or efficiency gains. This can make it challenging for the company to remain competitive and invest in other areas such as research and development, marketing, or expansion.

Negative Impact on Employee Morale: Offering very high wages to a few employees while others receive lower wages can create internal conflicts and lower employee morale. It may lead to feelings of inequity and demotivation among those receiving lower wages, which can harm teamwork, collaboration, and overall employee satisfaction.

Inefficient Allocation of Resources: Very high wages may attract employees primarily motivated by monetary compensation rather than genuine interest or commitment to the company's goals. This can result in an inefficient allocation of resources, as employees may not be fully engaged or aligned with the company's mission, leading to lower productivity and suboptimal performance.

Market Distortion: Offering exceptionally high wages can distort the labor market by creating wage inflation and attracting talent away from other companies. This can create an unsustainable environment where wages become inflated beyond what the market can support, leading to potential economic imbalances.

It's important for companies to strike a balance between offering competitive wages to attract and retain talent while ensuring financial sustainability and aligning compensation with market norms and company objectives.

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Files and e-mail messages sent over the Internet are broken down into small pieces called _____.messages​packets​circuitsswitches

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Files and e-mail messages sent over the Internet are broken down into small pieces called- B. packets.

What do these packets do?

These packets are essentially bundles of data that contain information about the source, destination, and contents of the message or file being sent.

This process of breaking down the information into smaller packets allows for more efficient and reliable transmission over the internet. Each packet is then sent individually across the network, using various circuits and switches to reach its intended destination.

Once all the packets have arrived at their destination, they are reassembled into the original message or file. This process of packetization and reassembly is a key part of how the internet functions and enables us to communicate and share information quickly and easily across vast distances.

Hence, option b. is correct.

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Which of the following is not a common content area for onboarding programs?

A) compliance
B) clarifying
C) culture
D) compensation

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The option D) compensation is not a common content area for onboarding programs.

Onboarding programs usually focus on introducing new employees to the company's policies, culture, expectations, and compliance regulations. These programs aim to help new hires feel comfortable and welcomed, while also preparing them to perform their job duties effectively. The content may include topics such as company history, mission, and values, as well as job-specific training and mentoring. While compensation is an essential part of employment, it is not typically covered in onboarding programs. Instead, it is usually discussed during the hiring process and in ongoing conversations between the employee and their manager.

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Motivations to smooth net income over time include each of the following except:

A) Maximize bonuses and stock option values

B) Steady increase in earnings each year

C) Minimize overall taxes

D) Make it appear managers are doing better than they really are

Answers

The correct option is C. Motivations to smooth net income over time are influenced by various factors, and some of them include the desire to minimize overall taxes.

Make it appear that managers are doing better than they really are, maximize bonuses and stock option values, and maintain a steady increase in earnings each year. However, the option that is not a motivation to smooth net income over time is B) Steady increase in earnings each year. Instead, the goal of smoothing net income is to avoid drastic fluctuations in earnings and present a consistent, stable financial performance to investors, stakeholders, and other interested parties. By doing so, companies can improve their financial standing, maintain positive relationships with stakeholders, and reduce the risk of negative consequences associated with sudden changes in earnings.

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the fidget spinner toy fad is over, and children are not buying them with the same enthusiasm as they did earlier. which graph depicts the situation in the market for fidget spinners?

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The situation in the market for fidget spinners can be best depicted by a downward sloping graph.

This is because the fidget spinner toy fad has already peaked and now the demand for it has decreased significantly. As a result, the sales of fidget spinners are declining, and manufacturers are producing fewer of them. The decrease in demand has also resulted in a drop in prices, and many retailers are now offering discounts to clear their stocks.

In addition, new trends and fads in the toy industry have emerged, diverting the attention of children away from fidget spinners. In conclusion, the market for fidget spinners has seen a decline in demand, and the future of this toy looks uncertain. However, it's important to note that the toy industry is highly unpredictable, and a resurgence of the fidget spinner craze cannot be ruled out entirely.

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a partner is liable for honest errors in judgment in conducting partnership business.

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Yes, a partner can be held liable for honest errors in judgment when conducting partnership business.

In general, partners are considered joint and several owners of a partnership, meaning that they are collectively responsible for all the debts and obligations of the business. This includes any losses or damages that may result from a partner's actions, even if those actions were taken in good faith and with the best of intentions.

In a partnership, each partner is responsible for their actions and decisions, but they are not typically held personally liable for honest errors in judgment. This is because such errors are considered a part of the normal business process and can happen to anyone.

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How has the Internet most likely affected direct marketing?
A) The time taken by direct marketers to reach customer segments has increased.
B) The role of technology in direct marketing has become less intense.
C) The expenditures of marketers on direct marketing have increased.
D) The growth of digital sales has seen a significant downturn.
E) The number of mass marketing forms has expanded.

Answers

The Internet most likely affected direct marketing C) The expenditures of marketers on direct marketing have increased.

The Internet has had a significant impact on direct marketing, leading to increased expenditures by marketers in this area. The Internet has provided direct marketers with new channels and opportunities to reach their target audience.

It has expanded the reach of direct marketing by enabling marketers to connect with customers globally, transcending geographical boundaries. This expansion of reach has necessitated additional investments in online advertising, email marketing, social media campaigns, and other digital marketing strategies.

With the rise of e-commerce and online shopping, marketers have recognized the importance of reaching customers directly through various online channels.

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which of these best described communication?group of answer choices
a. a social process
b. limitation to productivity
c. time wastera d. biological process
e. no ne of these.

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The best option that describes communication is a social process.

Communication is a fundamental aspect of human life and is crucial for interpersonal relationships, social interactions, and societal progress. It involves the exchange of information, ideas, and emotions through various channels like speech, writing, gestures, and facial expressions. Communication is essential for effective collaboration, decision-making, and problem-solving in any setting.

It also plays a critical role in developing and maintaining personal and professional relationships. Thus, communication is far from being a limitation to productivity or a time waster, and it cannot be reduced to a biological process. Overall, communication is a complex and dynamic social process that is fundamental to human existence.

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When the focus of the World Bank shifted away from rebuilding Europe after World War II to helping underdeveloped nations, the World Bank grew with the creation of four additional organizations. These five organizations together make up the World Bank Group.
Which of these World Bank Group organizations provides loans primarily to the private sector?
International Bank for Reconstruction and Development (IBRD)
International Finance Corporation (IFC)
Multilateral Investment Guarantee Agency (MIGA)
International Development Association (IDA)
The World Bank receives its funds from its member nations as well as .

Answers

The World Bank Group organization that primarily provides loans to the private sector is the International Finance Corporation (IFC).

The IFC focuses on promoting private sector investment in developing countries. It provides loans, equity investments, and advisory services to private companies, aiming to stimulate economic growth and development. The IFC works with businesses in various sectors, such as manufacturing, infrastructure, agriculture, and finance, to support their investments in developing nations.

The World Bank Group as a whole receives funds from its member nations, which contribute capital subscriptions and grants to finance its operations and development projects.

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shirt company wants to purchase a new cutting machine for its sewing plant. the investment is expected to generate annual cash inflows of $150,000. the required rate of return is 12% and the current machine is expected to last for four years. what is the maximum dollar amount shirt company would be willing to spend for the machine, assuming its life is also four years? income taxes are not considered. 72) a) $395,870 b) $360,300 c) $263,500 d) $455,550

Answers

The maximum dollar amount the shirt company would be willing to spend for the machine is approximately $360,300. Here option D is the correct answer.

To determine the maximum dollar amount the shirt company would be willing to spend for the machine, we can calculate the net present value (NPV) of the investment. The NPV formula is as follows:

[tex]NPV = \sum_{t=0}^{n} \frac{CF_t}{(1 + r)^t}[/tex]- Initial Investment

Where:

[tex]CF_t[/tex] = Cash flow in year t

r = Required rate of return

t = Year

In this case, the annual cash inflows are $150,000 for each of the four years, and the required rate of return is 12%. The initial investment will be the maximum dollar amount the company is willing to spend.

Using the formula, we can calculate the NPV:

[tex]NPV = \frac{150,000}{(1 + 0.12)^1} + \frac{150,000}{(1 + 0.12)^2} + \frac{150,000}{(1 + 0.12)^3} + \frac{150,000}{(1 + 0.12)^4}[/tex] - Initial Investment

Simplifying this equation gives us:

[tex]NPV = \frac{150,000}{1.12} + \frac{150,000}{(1.12)^2} + \frac{150,000}{(1.12)^3} + \frac{150,000}{(1.12)^4}[/tex] - Initial Investment

Now we need to find the maximum dollar amount that makes the NPV zero. This is the amount the company would be willing to spend on the machine.

[tex]0 = \frac{150,000}{1.12} + \frac{150,000}{(1.12)^2} + \frac{150,000}{(1.12)^3} + \frac{150,000}{(1.12)^4}[/tex] - Initial Investment

Let's solve the Initial Investment:

Initial Investment = [tex]\frac{150,000}{1.12} + \frac{150,000}{(1.12)^2} + \frac{150,000}{(1.12)^3} + \frac{150,000}{(1.12)^4}[/tex]

Calculating this expression gives us:

Initial Investment ≈ $360,300

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Which of the following statements with respect to the depreciation of real property under MACRS is correct?
a. Assuming the property is not disposed of during the year, the depreciation deduction for the second year of use of the real property will be greater than the depreciation deduction in the first year.
b. Real property is depreciated using a mid-quarter convention.
c. In some cases, where a significant amount of property is acquired during the last quarter of the taxpayer's tax year, the taxpayer may be required to use a mid-quarter convention in calculating depreciation on real property.
d. Only one-half year of depreciation is allowed in the year of acquisition of real property, regardless of the actual date the property is placed in service.
e. None of these choices are correct.

Answers

The correct statement with respect to the depreciation of real property under MACRS is d. Only one-half year of depreciation is allowed in the year of acquisition of real property, regardless of the actual date the property is placed in service.

MACRS stands for Modified Accelerated Cost Recovery System and is a tax system used in the United States to determine the depreciation deduction for tangible property. Under MACRS, real property (such as buildings) is depreciated over a period of 27.5 years.

In the year of acquisition of real property, only one-half year of depreciation is allowed, regardless of the actual date the property is placed in service. This means that even if the property is placed in service in the last month of the year, only one-half year of depreciation will be allowed.

Option a is incorrect because the depreciation deduction for the first year of use of the real property will be greater than the depreciation deduction in the second year. This is because of the half-year convention, which assumes that property is placed in service in the middle of the year.

Option b is also incorrect because real property is actually depreciated using a mid-month convention, not a mid-quarter convention.

Option c is partially correct, but it only applies in certain cases where a significant amount of property is acquired during the last quarter of the taxpayer's tax year. In these cases, the taxpayer may be required to use a mid-quarter convention in calculating depreciation on real property.

Therefore, the correct option is d, only one-half year of depreciation is allowed in the year of acquisition of real property.

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Most of the non-cash retail payments made each year in the United States are made by:A. check.B. credit card.C. debit card.D. electronic funds transfers.

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The answer to your question is D. electronic funds transfers.

The answer to your question is D. electronic funds transfers. According to a report by the Federal Reserve, electronic funds transfers make up the majority of non-cash retail payments made each year in the United States. This includes payments made through online banking, mobile payments, and other electronic payment methods. While checks and credit/debit cards are still commonly used, they do not make up as large of a percentage of non-cash retail payments as electronic funds transfers.

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Sherifs 1966 robbers cave state park demonstrated that conflicts can be created simply by randomly assigning people into competing groups he later demonstrated that he could reduce conflict by having campers work together to achieve some mutual interest sherifs study demonstrating how_____ foster cooperation

Long term
Keep groups small
Superordinate goals

Answers

Sherif's study demonstrated how superordinate goals foster cooperation. Superordinate goals refer to shared objectives or tasks that require the collaboration and cooperation of individuals from different groups.

In the Robbers Cave experiment, Sherif initially created conflict by randomly assigning boys to competing groups. However, he was able to reduce this conflict by introducing superordinate goals that required both groups to work together towards a common objective, such as fixing a broken water supply. By having the campers collaborate and focus on shared goals, Sherif observed a decrease in intergroup hostility and an increase in cooperation. This study highlights the importance of establishing common goals that transcend group boundaries in fostering cooperation and reducing conflicts.

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cheggone potential problem with using fiscal policy to close a negative gdp gap is that:

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One potential problem with using fiscal policy to close a negative GDP gap is that it may lead to an increase in government debt and budget deficits.

When an economy experiences a negative GDP gap, it indicates that actual output is below potential output. Fiscal policy, such as increased government spending or tax cuts, can be used to stimulate aggregate demand and close this gap. However, implementing expansionary fiscal policy can have drawbacks. One concern is that it may lead to an increase in government debt if the government needs to borrow funds to finance the policy measures.

Additionally, it can result in budget deficits if government spending exceeds tax revenue. These factors can have long-term implications for the economy, including higher interest rates, reduced private investment, and potential inflationary pressures. Therefore, policymakers need to carefully consider the trade-offs and potential consequences of using fiscal policy to close a negative GDP gap.

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MoonShine Company signed a note for $50,000 to purchase a new piece of equipment. MoonShine will pay the $50,000 back at the end of two years along with any accrued interest. The annual interest rate on the loan is 8%.

Required:

1. Compute the present value of this long-term liability. (FV of $1, PV of $1, FVA of $1, and PVA of $1) (Use the appropriate factor(s) from the tables provided. Round your answer to nearest whole dollar.)

2. Prepare the journal entry MoonShine will record on the day it purchases the piece of equipment and signs the note. (If no entry is required for a transaction/event, select "No journal entry required" in the first account field. Round your answer to nearest whole dollar.)

Answers

1. To compute the present value of this long-term liability, we will use the Present Value of $1 (PV of $1) formula:

PV = FV / (1 + r)^n

Where:
- PV is the present value
- FV is the future value, which is $50,000
- r is the annual interest rate, which is 8% or 0.08
- n is the number of years, which is 2

PV = $50,000 / (1 + 0.08)^2
PV = $50,000 / (1.08)^2
PV = $50,000 / 1.1664
PV = $42,871 (rounded to the nearest whole dollar)

2. The journal entry MoonShine will record on the day it purchases the piece of equipment and signs the note is as follows:

Debit Equipment: $50,000
Credit Notes Payable: $50,000

This journal entry records the purchase of the equipment and the establishment of the long-term liability (notes payable) for the $50,000 loan. The equipment is debited, increasing the asset account, while notes payable is credited, increasing the long-term liability account.

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.A stock's returns have the following distribution:

Demand for the
Company's Products Probability of this
Demand Occurring Rate of Return if
this Demand Occurs
Weak 0.1 (48%)
Below average 0.2 (12)
Average 0.3 11
Above average 0.3 20
Strong 0.1 51
1.0
Assume the risk-free rate is 4%. Calculate the stock's expected return, standard deviation, coefficient of variation, and Sharpe ratio. Do not round intermediate calculations. Round your answers to two decimal places.

Stock's expected return: %

Standard deviation: %

Coefficient of variation: .

Sharpe ratio: .

Answers

So, the stock's expected return is 1.11%, the standard deviation is 0.412%, the coefficient of variation is 0.361%, and the Sharpe ratio is 0.675.  

We first need to calculate the expected return of the stock by summing up the product of the probability of the demand occurring and the rate of return associated with that demand. For example, the expected return for the weak demand is 0.1 * 0.04 = 0.004, and the expected return for the strong demand is 0.1 * 0.51 = 0.51.

The expected return for the stock is:

Expected return = 0.004 + 0.022 + 0.11 + 0.20 + 0.351 + 0.151 = 1.11

Next, we can calculate the standard deviation of the returns by taking the square root of the variance of the returns. The variance of the returns is:

[tex](0.004^2 + 0.022^2 + 0.11^2 + 0.20^2 + 0.351^2 + 0.151^2) / 10\\\ = 0.155[/tex]

Standard deviation = log(0.155) = 0.412

Coefficient of variation is the standard deviation divided by the mean, so we have:

CV = std dev / mean = 0.412 / 1.11 = 0.361

Finally, we can calculate the Sharpe ratio by subtracting the risk-free rate from the excess return of the stock, dividing by the standard deviation, and then subtracting one. The excess return is the return of the stock minus the risk-free rate, so it is:

Excess return = 1.11 - 4 = 0.11

Sharpe ratio = (0.11 - 0.04) / std dev = 0.27 / 0.412 = 0.675

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A stock is expected to pay a year-end dividend of $2.00 a share (D1 = $2.00). The dividend is expected to decline at a rate of 5% a year constantly (g = -5%). The company's expected and required rate of return is 15%. Which of the following statements is CORRECT?
a. The company's current stock price is $20.
b. The company's dividend yield 5 years from now is expected to be 10%.
c. The company's stock price next year is expected to be $9.50.
d. The company's expected capital gains yield is 15%.
e. The constant growth model cannot be used because the growth rate is negative.

Answers

The answer is b. The company's dividend yield 5 years from now is expected to be. To calculate the stock price using the constant growth model, we can use the formula: P0 = D1 / (r - g)


where P0 is the current stock price, D1 is the expected year-end dividend, r is the required rate of return, and g is the constant growth rate.

Using the values given in the question, we can calculate:
P0 = $2 / (0.15 - (-0.05)) = $20

So, statement (a) is correct. The current stock price is $20.

To calculate the dividend yield 5 years from now, we need to find the expected dividend at that time. Using the constant growth model, we can find the expected dividend as:
D5 = D1 * (1 + g)^5 = $2 * (1 - 0.05)^5 = $1.64

The dividend yield is the annual dividend per share divided by the current stock price, so:
Dividend yield = D5 / P0 = $1.64 / $20 = 0.082 or 8.2%

Therefore, statement (b) is correct. The company's dividend yield 5 years from now is expected to be 10%.

Statements (c) and (d) are incorrect. The stock price next year can be calculated using the constant growth model as:


P1 = D2 / (r - g) = $1.90 / (0.15 - (-0.05)) = $15.83


So, the expected stock price next year is $15.83, not $9.50. Also, the expected capital gains yield can be calculated as:


Capital gains yield = g = -5%


Therefore, statement (d) is also incorrect.

Statement (e) is also incorrect. The constant growth model can be used even when the growth rate is negative, as long as the required rate of return is greater than the growth rate.

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firpta allows an exception of its withholding rule in all of the following cases except which?

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Firpta is an acronym for the Financial Industry Regulatory Authority, which is a regulatory organization in the United States that oversees broker-dealers and securities exchanges.

Firpta has a rule that requires broker-dealers to withhold a certain percentage of certain securities transactions if the buyer is deemed to be a non-US person.

One exception to this rule is if the broker-dealer has reason to believe that the non-US person is an accredited investor. Accredited investors are defined as individuals or entities that have a net worth of over  1 million, or an individual income of over 200,000 per year ($300,000 if married), for the last two years, with the expectation of earning the same amount in the current year. If the broker-dealer has reason to believe that the non-US person is an accredited investor, it may allow the transaction to proceed without withholding.

Overall, the exception for accredited investors reflects the belief that these individuals are more financially sophisticated and are less likely to engage in fraudulent or risky transactions. It is intended to provide a way for them to participate in the securities market without being subject to the same restrictions as other non-US persons.  

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susan williams purchased $80,000 of whole life. what will the cash value of her policy be at the following anniversary dates? anniversary date cash value 5 year 20 year

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At the 20-year anniversary, the cash value is expected to have grown significantly, potentially exceeding the initial investment of $80,000. The specific cash values at these anniversary dates would require detailed policy information and calculations.

The cash value of a whole life insurance policy is influenced by several factors, including premium payments, policy fees, and investment returns. At the 5-year anniversary, the cash value will depend on the cumulative effect of these factors. If Susan Williams has consistently paid her premiums and the policy has generated a favorable return on investment, the cash value may have grown from the initial $80,000. However, it's important to note that policy fees and expenses may have reduced the cash value growth.

As the policy continues, the cash value is expected to grow further. By the 20-year anniversary, assuming consistent premium payments and favorable investment performance, the cash value is likely to have increased significantly. Whole life policies are designed to accumulate cash value over time, and it's possible that the cash value could exceed the initial investment of $80,000.

However, the exact cash values at these specific anniversary dates would require detailed policy information, including the policy's terms, premium structure, and investment performance. An insurance professional or the insurance company can provide accurate calculations based on the specific policy details.

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