usually, the more liquid an asset is (like cash in the bank), the less return you can expect.a. trueb. false

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Answer 1

True. The more liquid an asset is, the less return you can expect. This is because highly liquid assets like cash or money market funds have low risk and are easily accessible, which means they typically offer lower returns compared to less liquid assets like stocks or real estate.

However, it's important to note that the trade-off between liquidity and return may vary based on individual circumstances and investment goals. A detailed answer would require a deeper analysis of the specific investment options and the associated risks and rewards.

Generally, the more liquid an asset is, such as cash in the bank, the less return you can expect. This is because liquid assets are easily convertible to cash and involve lower risk, resulting in lower returns compared to less liquid assets that often come with higher risks and potentially higher returns.

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Related Questions

What is true regarding expense items purchased by organizational buyers?

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Expense items purchased by organizational buyers are typically low-cost and frequently consumed in the regular course of business operations.

These items are often used to support the day-to-day functioning of an organization and are replenished on a regular basis. They are commonly referred to as "maintenance, repair, and operating" (MRO) supplies. Organizational buyers prioritize efficiency and cost-effectiveness when purchasing expense items. They aim to keep expenses in check while ensuring the smooth functioning of their operations. Consequently, the decision-making process for these purchases is often streamlined and based on established agreements or contracts with suppliers. Expense items can include office supplies, cleaning supplies, maintenance tools, protective equipment, and other consumable items necessary for sustaining business operations. As these items are frequently replenished, the focus is on securing a reliable supply chain, competitive pricing, and consistent quality.

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the term used to describe a team's ability to relocate is franchise decertification.a. trueb. false

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False, Franchise decertification refers to the removal of a team from a professional sports league, usually due to financial or operational issues. The term used to describe a team's ability to relocate is franchise relocation.

Franchise decertification is not the phrase used to characterize a team's capacity for relocation. Instead, it is known as "franchise relocation." Franchise decertification refers to the process of removing a franchise's legal certification, while franchise relocation involves a sports team moving from one city or region to another.

In more detail, sports administration as a career entails controlling almost all facets of an athletic programmed. Providing tools for athlete education, maintaining team and coach compliance, and even generating interest in your team or club throughout the community are examples of this.

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assume a company's sales are $1.5 million in 2020, $1.7 million in 2021, and $1.6 million in 2022. a. what is the percentage change from 2020 to 2021? be sure to indicate whether the percentage change is an increase or a decrease. (negative answer should be indicated by a minus sign. round your percentage to 1 decimal place.) b. what is the percentage change from 2021 to 2022? be sure to indicate whether the percentage change is an increase or a decrease. (negative answer should be indicated by a minus sign. round your percentage to 1 decimal place.)

Answers

Thus, the percentage change from 2020 to 2021 is an increase of 13.3% and the percentage change from 2021 to 2022 is a decrease of 5.9%.

The percentage change from 2020 to 2021 can be calculated by using the following formula:

Percentage Change = ((New Value - Old Value) / Old Value) x 100

Therefore, the percentage change from 2020 to 2021 is:

((1.7 - 1.5) / 1.5) x 100 = 13.3%

Since the percentage change is positive, we can conclude that there is an increase in sales from 2020 to 2021.

The percentage change from 2021 to 2022 can be calculated using the same formula:

((1.6 - 1.7) / 1.7) x 100 = -5.9%

Since the percentage change is negative, we can conclude that there is a decrease in sales from 2021 to 2022.

In summary, the percentage change from 2020 to 2021 is an increase of 13.3% and the percentage change from 2021 to 2022 is a decrease of 5.9%.

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Which of the following statements is correct? a. Firms with some degree of monopoly power are rare, as are firms with substantial monopoly power. b. Firms with some degree of monopoly power are common, but firms with substantial monopoly power are rare. c. Firms with some degree of monopoly power are rare, but firms with substantial monopoly power are common. d. Firms with some degree of monopoly power are common, as are firms with substantial monopoly power.

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The correct statement is b. Firms with some degree of monopoly power are common, but firms with substantial monopoly power are rare.

Monopoly power refers to a firm's ability to influence the market price by controlling the supply of goods or services. Firms with monopoly power can charge higher prices than competitive firms, which results in higher profits. However, obtaining and maintaining substantial monopoly power is difficult, as it requires barriers to entry, such as patents, economies of scale, or exclusive access to resources. Therefore, firms with substantial monopoly power are rare. On the other hand, firms with some degree of monopoly power are common, as they can gain market power by offering unique products, branding, or pricing strategies. These firms may not have complete control over the market, but they can still influence the price and earn higher profits than competitive firms. Overall, the existence and extent of monopoly power in firms depend on market conditions, regulations, and firm strategies.

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Which of the following best describes the closed shop form of union security? A) A company can hire nonunion people if they agree to join the union. B) Union members receive higher wages than nonunion employees. C) Union members receive preferential treatment in hiring. D) A company can hire only union members.

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A company can hire only union members, best describes the closed shop form of union security.(option-d)

Under a closed shop arrangement, an employer is required to hire only union members. This means that employees who are not already union members are required to join the union or risk losing their job. Essentially, this gives the union the power to control the hiring process and maintain an all-union workforce.

The closed shop form of union security is relatively rare, as it has been mostly outlawed in the United States under federal labor laws. In 1947, the Taft-Hartley Act was enacted which outlawed the closed shop and other similar forms of union security.

The closest option to fully describe the closed shop form of union security is D, as it accurately captures the core concept of the closed shop arrangement in which an employer is required to only hire union members. Option A is incorrect, as it suggests that non-union employees can agree to join the union, which is not the case in a closed shop. Option B and C do not capture the full extent of a closed shop arrangement.(option-d)

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what controversial movie produced in the silent film era was the first blockbuster?

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The controversial movie produced in the silent film era that was the first blockbuster was "The Birth of a Nation" directed by D.W. Griffith in 1915.

The movie faced controversy due to its depiction of African Americans and its glorification of the Ku Klux Klan. Despite the controversy, it was a commercial success and is considered a significant milestone in the history of cinema.

This movie was controversial due to its glorification of the Ku Klux Klan and depiction of African Americans as inferior and dangerous. Despite the controversy, it was a huge success at the box office, grossing over $10 million in its initial release and becoming the highest-grossing film of the silent era.

It is important to note that while the film was a commercial success, it also sparked widespread protests and condemnation from civil rights activists and organizations.

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Which of the following is not a method used to set labor standards?
A) historical experience
B) time studies
C) predetermined time standards
D) work sampling
E) government laws and regulations

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The method that is not used to set labor standards among the options provided is E) government laws and regulations. Labor standards are typically established through methods such as historical experience, time studies, predetermined time standards, and work sampling.

However, government laws and regulations play a different role in ensuring compliance with established labor standards rather than directly setting them. Labor standards are often determined based on historical experience, which involves analyzing past performance data to establish benchmarks and productivity norms. Time studies are conducted to measure the time required to perform specific tasks, helping to determine appropriate standards for work completion. Predetermined time standards involve setting predefined times for completing specific work activities, based on established methods and analysis. Work sampling is a technique that involves observing a representative sample of workers to estimate the proportion of time spent on various tasks and activities. These methods help organizations establish and maintain efficient labor standards. On the other hand, government laws and regulations provide a legal framework to protect workers' rights, ensure fair wages, and maintain safe working conditions, but they are not methods used to directly set labor standards.

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what is coming and leaving on netflix, hbo go and "amazon prime" may 2019

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In May 2019, there are plenty of new additions and departures on popular streaming platforms like Netflix, HBO Go, and Amazon Prime.

Netflix is adding many new TV shows and movies in May. Some notable additions include:

- Extremely Wicked, Shockingly Evil and Vile (film)
- Wine Country (film)
- The Society (TV series)
- Dead to Me (TV series)
- Riverdale Season 3 (TV series)
- Patriot Act with Hasan Minhaj Volume 3 (comedy series)
- The Rain Season 2 (TV series)

As for departures, Netflix is removing some popular titles as well, such as:

- Bridget Jones's Diary (film)
- Coco (film)
- The Jungle Book (film)
- Happy Feet (film)
- Burn Notice (TV series)

Moving on to HBO Go, some of the most anticipated additions for May include:

- Game of Thrones: The Last Watch (documentary)
- The Lego Movie 2: The Second Part (film)
- Us (film)
- Veep Season 7 (TV series)

However, HBO Go is also losing a few titles such as:

- Batman Begins (film)
- Crimson Peak (film)
- Mad Max: Fury Road (film)

Finally, on Amazon Prime, some of the top arrivals for May include:

- The Beach Bum (film)
- A Most Violent Year (film)
- The Perfection (film)
- Sneaky Pete Season 3 (TV series)

Amazon Prime is also removing some titles in May, including:

- A Clockwork Orange (film)
- Black Snake Moan (film)
- Bridget Jones's Baby (film)

So, these are some of the major titles coming and leaving on Netflix, HBO Go, and Amazon Prime in May 2019.

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Which best describes disability buy-sell insurance policies?A. Benefits are taxable to the business entity
B. Premiums are typically tax-deductible
C. Benefits are typically tax-free
D. Benefits are paid to the disabled insured

Answers

C. Benefits are typically tax-free best describes disability buy-sell insurance policies.

Disability buy-sell insurance policies are designed to provide funds for the buyout of a disabled business owner's share of the business.

The benefits received under this type of policy are generally tax-free, which allows the remaining owners to purchase the disabled owner's share without incurring a tax liability.

The insurance policy, which establishes the claims that the insurer is legally obligated to pay, is a contract between the insurer and the policyholder.

The insurer guarantees to reimburse losses brought on by risks covered by the policy language in return for an upfront payment known as the premium.

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The expected annual net cash inflow from a project is $22,000 over the next 5 years. The required investment now in the project is $79,310. What is the internal rate of return on the project? O A 10% 0 B 12% 0 C 14% O D Cannot be determined

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The correct option is C) 14%. To calculate the internal rate of return (IRR) on the project, we can use the following formula:

IRR = Discount rate + (NPV / Initial investment[tex])^(1 / Number of years)[/tex] - 1

Given that the expected annual net cash inflow from the project is $22,000 over the next 5 years and the required investment is $79,310, we can calculate the IRR as follows:

NPV = (Net cash inflow - Initial investment) = ($22,000 * 5) - $79,310 = $11,550

Using this value, we can calculate the IRR as:

IRR = Discount rate + ($11,550 / $79,310[tex])^(1/5)[/tex]- 1

By solving this equation, we find that the IRR is approximately 14%. Therefore, the correct option is C) 14%.

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What city in Latin America was designed to be, and is an example of a sustainable city?Mexico City, MexicoBuenos Aires, ArgentinaQuito, EcuadorCuritiba, BrazilSantiago, Chile

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Curitiba, Brazil is widely regarded as a pioneer in sustainable urban planning and is often cited as an example of a sustainable city in Latin America.

The city has implemented a number of innovative policies and initiatives to promote sustainability, such as creating dedicated bus lanes, developing a recycling program, and encouraging green spaces. Curitiba's bus rapid transit system is especially notable, as it has significantly reduced traffic congestion and air pollution in the city. The city has also invested in social programs to improve the quality of life for its residents, such as providing free healthcare and education. Overall, Curitiba's commitment to sustainable development has made it a model for other cities in Latin America and beyond.

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Insurance companies employ underwriters responses:
A. as an alternative to higher deductibles. B. to encourage the loyalty of exclusive agents C. to control the risk incurred on their behalf by agents
D. to control the risky behavior of their policyholders.

Answers

Insurance companies employ underwriters to control the risk incurred on their behalf by agents. Underwriters assess the risk associated with insuring a particular individual, property, or business and determine the terms and conditions of coverage.

They analyze various factors such as the applicant's medical history, driving record, property condition, and business operations to evaluate the level of risk involved. By carefully assessing and managing risk, underwriters aim to ensure that insurance policies are priced appropriately and that the company's exposure to potential losses is controlled.

Underwriting is a critical function in the insurance industry. Insurance companies rely on underwriters to evaluate risks and make informed decisions about providing coverage. Underwriters assess the risk profile of applicants by gathering relevant information and analyzing it to determine the likelihood of future claims. They consider factors such as the applicant's age, health, occupation, lifestyle, and previous claims history. Based on their analysis, underwriters determine the terms of coverage, including the premium amount, deductibles, and policy limits.

The primary objective of underwriting is to control the risk incurred by the insurance company. By carefully evaluating risks, underwriters can price policies accurately to ensure that premiums are sufficient to cover potential claims and associated expenses. Underwriters also play a role in managing the company's overall risk portfolio by balancing the acceptance of new risks and maintaining a diversified mix of policies. They may set guidelines and guidelines to guide agents in selecting risks that align with the company's risk appetite.

While underwriters help control risk for insurance companies, their role is not to control the behavior of policyholders directly. Policyholders are expected to adhere to the terms and conditions of their insurance policies, and underwriters assess the risk associated with providing coverage based on the information provided by the policyholder and their perceived risk profile. However, underwriters may consider factors such as claims history or risk mitigation measures taken by policyholders when evaluating risks and determining the terms of coverage.

In conclusion, insurance companies employ underwriters to control the risk incurred on their behalf by agents. Underwriters assess risks, determine coverage terms, and ensure that policies are priced appropriately. Their role is crucial in maintaining the financial stability of insurance companies and managing their risk exposure.

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apricot uniforms reported net cash provided by operating activities of $201,200, cash paid for dividends of $20,500, cash received from stock issuance of $50,500, cash paid for equipment purchases of $121,000, cash received from bank loan advances of $10,500, and cash paid for intangible assets of $10,500. required: calculate the following: 1. net cash provided by (used in) investing activities. 2. net cash provided by (used in) financing activities. 3. net increase (decrease) in cash. 4. free cash flow.

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To calculate the requested values: Net cash provided by (used in) investing activities:

Net cash used in investing activities is calculated by subtracting cash received from equipment purchases and intangible assets from cash paid for equipment purchases. In this case, it is [tex]121,000 - $10,500 = $110,500.[/tex]

Net cash provided by (used in) financing activities:

Net cash provided by financing activities is calculated by adding cash received from stock issuance and bank loan advances and subtracting cash paid for dividends. In this case, it is $[tex]50,500 + $10,500 - $20,500 = $40,500.[/tex]

Net increase (decrease) in cash:

Net increase (decrease) in cash is calculated by summing net cash provided by operating activities, investing activities, and financing activities. In this case, it is $[tex]201,200 + $110,500 + $40,500 = $352,200[/tex].

Free cash flow:

Free cash flow is calculated by subtracting cash paid for dividends, cash paid for equipment purchases, and cash paid for intangible assets from net cash provided by operating activities. In this case, it is $[tex]201,200 - $20,500 - $121,000 - $10,500 = $49,200.\\[/tex]

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Reputation management refers to the practice of caring for the image of a firma. Trueb. False

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This is a true statement. To give a long answer and explain further, reputation management is the process of monitoring and influencing how a brand or company is perceived by the public.

It involves proactively building a positive image through various strategies such as public relations, social media, and customer service, as well as reactively addressing any negative feedback or criticism. The goal is to maintain a strong and favorable reputation, which can lead to increased trust, loyalty, and business success.

Reputation management involves monitoring and addressing the public perception of a company or individual by influencing and controlling the information available online. It helps maintain a positive image, foster good customer relations, and build trust. This practice is essential in today's digital era, where opinions and information can quickly spread through social media and online reviews.

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the straw man approach of righteous moralism is typically associated with managers from:

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The straw man approach of righteous moralism is typically associated with managers from more traditional and hierarchical organizations.

In these organizations, managers often adhere to strict moral principles and assume a superior moral stance.

This approach can be problematic as it involves creating a simplified, distorted version of an opponent's argument, which is easier to counter, instead of addressing the real issues at hand.

As a result, the straw man approach can lead to communication breakdowns, misunderstandings, and reduced collaboration among team members.

Instead of engaging in open dialogue and seeking solutions, managers who adopt righteous moralism may focus on upholding their moral high ground, which may hinder their ability to effectively address the actual challenges and issues faced by their team or organization.

In conclusion, the straw man approach of righteous moralism can be counterproductive to achieving successful outcomes and fostering a positive work environment.

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The fresh cut rose industry in the US is perfectly competitive. The long run marginal cost curve is MC(Q)=20+2Q. The corresponding long-run average cost is given by AC(Q)=20+Q+144/Q. The market demand is Q=2488-2P. What is the long run equilibrium price in this industry? At this price, how much would an each individual firm produce? How many active producers are in the industry in long run competitive equilibrium?

Answers

The long-run equilibrium price in this industry is $1238 per unit.

AC(Q) = 20 + Q + 144/Q

To find the minimum, we differentiate AC(Q) with respect to Q and set it equal to zero:

d(AC)/dQ = 1 - 144/Q² = 0

144/Q²= 1

Q² = 144

Q = √144

Q = 12

Qs = nQf

2488 - 2P = n * 12

Q = 2488 - 2P

12 = 2488 - 2P

2P = 2488 - 12

2P = 2476

P = 2476/2

P = 1238

Equilibrium refers to a state of balance or stability in a system where opposing forces or influences are in equal measure, resulting in a lack of overall change. It is a fundamental concept in various fields such as physics, chemistry, economics, and biology.

In physics, equilibrium occurs when the net force acting on an object is zero, leading to a state of rest or constant motion. In chemistry, it refers to a state where the concentrations of reactants and products in a reversible chemical reaction remain constant over time. Economic equilibrium is achieved when the supply of goods and services matches the demand, ensuring a stable market. In biology, equilibrium is observed in ecological systems when population dynamics and resource availability reach a balanced state.

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an employee falls in a factory and has to be trained to work in the administrative office as a result of the injury. which category describes this type of injury?

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Injury requiring vocational rehabilitation category describes this type of injury mentioned here.

Vocational Rehabilitation, also known as the acronym VR or Voc Rehab, helps people with functional, psychological, developmental, cognitive, emotional and emotional disabilities, and those suffering from health conditions to impact. It's a process that helps you overcome obstacles. They prevent them from finding, keeping or returning to employment or other useful employment.

Vocational rehabilitation may involve a variety of medical professionals as well as non-medical professionals such as career counselors and disability employment counselors. Historically, job retention has been the main goal of vocational rehabilitation, but more modern approaches place a greater emphasis on comprehensive strategies. However, strategies vary from country to country due to differences in financial and political support for vocational rehabilitation.

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statements of short-term, specific outcomes that are to be achieved by the firm.

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these statements are commonly referred to as "short-term goals" or "objectives." They outline the specific results that the firm hopes to achieve within a relatively brief timeframe, typically ranging from a few weeks to a year. Short-term goals are often used to measure progress and success, as they provide a concrete way to assess whether the firm is on track to achieving its broader strategic aims.

short-term goals are typically linked to broader, longer-term strategic plans. By breaking down larger objectives into smaller, more manageable pieces, firms can create a roadmap for achieving success over time. Short-term goals might include specific metrics, such as sales targets, customer acquisition goals, or product development milestones.

To be effective, short-term goals should be specific, measurable, and time-bound. This means that they should clearly define what needs to be accomplished, how success will be measured, and when the goal should be achieved. By setting realistic, achievable short-term goals, firms can build momentum and stay focused on achieving their broader strategic vision.

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The yield to maturity on one-year zero-coupon bonds is 8%. The yield to maturity on two-year zero-coupon bonds is 9% a.
a. What is the forward rate of interest for the second year? (Do not round intermediate calculations. Round your answer to 2 decimal places.)
Forward rate of interest _________ %
b. If you believe in the expectations hypothesis, what is your best guess as to the expected value of the short-term interest rate next year? (Do not round intermediate calculations. Round your answer to 2 decimal places.)
Short-term interest rate _________ %
c. If you beleve in the liquidity preference theory, is your best guess as to next years short term interest rate higher or lower than in (b)?
O Lower
O Higher

Answers

Part A: forward rate of interest = 10.61%, Part B: short erm interest rate next year = 10.61% and Part C: best guess for next years interest rates = Lower

We compute the 1 year forward rate as follows/given below

1 year forward rate in 1 yr = ((1+2 yr rate)2 / (1+1 yr rate)1) – 1

1 year forward rate in 1 yr = ((1+9.6%)2 / (1+8.6%) – 1

1 year forward rate in 1 yr = ((1.096)2 / (1.086)1) – 1

1 year forward rate in 1 yr = ((1.201216 / (1.086)) – 1

1 year forward rate in 1 yr = (1.106092081) – 1

1 year forward rate in 1 yr = 10.61%

The formula employed will be the same, and the solution for part B is the same as what we discovered in part A.

Thus the answer is 10.61%

Part C,

For the purposes of the liquidity preference hypothesis, let's assume that the yield on a 2-year security had a liquidity premium associated to it. When that security becomes a 1-year security, the yield on it won't have that premium anymore, lowering its yield. Thus, the interest rates for the following year will be lower than what we discovered in part (b).

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Because it is entrepreneurial in nature, Rent the Runway is continuing to look for opportunities to exploit through innovation. Which of the following presents the best option for achieving its goals?
a.Renting uniforms b.Forming more alliances with high-end fashion designers c.Acquiring one of its suppliers d.Renting tuxedos for men

Answers

Forming more alliances with high-end fashion designers presents the best option for Rent the Runway to achieve its goals of exploiting opportunities through innovation.

Rent the Runway is an entrepreneurial company that offers a fashion rental service to customers. To remain competitive, it needs to continuously innovate and seek out new opportunities. Of the options presented, forming more alliances with high-end fashion designers is the best option for achieving its goals. This option aligns with Rent the Runway's core business of providing a rental service for fashion-conscious customers who seek luxury and variety. Partnering with more high-end fashion designers would provide Rent the Runway with access to a wider range of styles and designs, giving it an edge over competitors and increasing its appeal to customers who want to wear high-end clothing without the high cost of ownership. It also aligns with Rent the Runway's business model of offering a constantly changing selection of clothes to its customers. By forming more alliances with high-end fashion designers, Rent the Runway can differentiate itself from competitors and maintain its position as a leader in the fashion rental industry.

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how many were initially charged with the watergate office complex break-in?

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Initially, five individuals were charged with the Watergate office complex break-in.

The Watergate scandal refers to the infamous political scandal that occurred in the early 1970s in the United States. The break-in at the Watergate office complex in Washington, D.C. was a pivotal event in this scandal.

On June 17, 1972, five individuals were arrested inside the Democratic National Committee headquarters located in the Watergate complex. These individuals were later identified as Bernard Barker, Virgilio Gonzalez, Eugenio Martinez, James W. McCord Jr., and Frank Sturgis.

The initial charges brought against these individuals were related to the break-in itself, such as burglary, wiretapping, and theft. However, as the investigations unfolded, it was revealed that the break-in was part of a broader political espionage and sabotage campaign orchestrated by the Committee to Re-elect the President (CRP), also known as the Nixon re-election campaign.

This led to further charges and legal proceedings against additional individuals connected to the scandal, including high-ranking government officials. Ultimately, the Watergate scandal led to the resignation of President Richard Nixon in 1974 and had a significant impact on American politics and public trust in the government.

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Events in which a person has both the chance of winning or losing are classified as A - Retained risk. B - Speculative risk. C - Insurable. D - Pure risk

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Events in which a person has both the chance of winning or losing are classified as B - Speculative risk.

Speculative risk refers to situations where there is a possibility of both gain and loss. It involves uncertain outcomes where individuals willingly take on risks in the hope of achieving favorable results, such as financial gains or other benefits. Speculative risks typically involve activities such as gambling, investment in volatile assets, or entrepreneurial ventures with uncertain outcomes. Unlike pure risks, which involve only the possibility of loss and can be insurable, speculative risks involve the potential for both profit and loss. Individuals engage in speculative risks with the expectation of gaining more than they initially invested or risking potential losses. While speculative risks can lead to financial gains, they also carry the inherent possibility of losing money or resources.

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Money supply definitions: Identify whether each example in the following table belongs in M1, M2, or both. If an example belongs in both, be sure to check both boxes. a) M1 b) M2 c) Both

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Money supply refers to the total amount of money in circulation within an economy. There are various definitions of money supply, each including different types of money and assets.

The most common measures of money supply in the United States are M1 and M2.

M1 includes the most liquid forms of money, such as physical currency, checking account deposits, and traveler's checks.

M2 includes all of M1 plus some less liquid forms of money, such as savings account deposits, money market account balances, and small-time deposits.

To identify whether each example belongs in M1, M2, or both, we need to determine the level of liquidity and accessibility of each asset.

Here are some examples and their respective categories:

- Physical currency: M1
- Checking account deposits: M1
- Savings account deposits: M2
- Money market account balances: M2
- Small time deposits: M2
- Traveler's checks: M1
- Certificates of deposit (CDs): Both

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Which of the following is the best approach to promotion budgeting?
objective and task budgeting
all-you-can-afford budgeting
competitive parity budgeting
linear forecast budgeting
percentage of sales budgeting

Answers

The following is the best approach to promotion budgeting, the correct answer is the objective and task budgeting.

Objective and task budgeting is considered the best approach to promotion budgeting because it involves setting clear objectives and determining the tasks required to achieve those objectives. This approach focuses on aligning the promotion budget with specific marketing goals and activities.

By breaking down the objectives into actionable tasks, companies can accurately estimate the resources and costs needed for each task. This approach ensures that the promotion budget is based on a thorough understanding of the marketing objectives and the necessary activities to accomplish them.

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the future value of a present cash flow is generally larger than the cash flow itself.

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The future value of a present cash flow refers to the value that the cash flow will have at a future point in time, considering the effects of interest or investment returns. The statement is generally true.

The future value is calculated by applying a compounding factor to the present cash flow. Assuming a positive interest or investment rate, the compounding effect over time will typically result in a larger future value compared to the original cash flow amount.

This is because the cash flow earns additional returns or interest, which accumulates over time and increases its value. However, certain factors such as inflation or negative interest rates can result in exceptions to this general rule.

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Full Question: the future value of a present cash flow is generally larger than the cash flow itself. True / false

a well-prepared salesperson will not find it necessary to recommend that a prospect purchase a product from another source.

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A well-prepared salesperson will not suggest buying a product from another source because they have thoroughly assessed the prospect's needs and have a suitable solution to offer.

In a sales interaction, a well-prepared salesperson is equipped with in-depth knowledge about their product or service, as well as a comprehensive understanding of the prospect's needs and preferences. They have taken the time to research and gather relevant information, allowing them to present a compelling solution.

By thoroughly analyzing the prospect's requirements, a skilled salesperson can tailor their pitch and address the specific pain points, demonstrating the value and benefits of their product. They are able to showcase how their offering meets the prospect's needs more effectively than any alternative source.

Furthermore, a well-prepared salesperson can effectively communicate the unique selling points, features, and advantages of their product or service. They are skilled at building trust and rapport with the prospect, providing a personalized and persuasive sales experience.

Overall, a well-prepared salesperson's extensive preparation and understanding of the prospect's needs eliminate the necessity to recommend an alternative source, as they can confidently present their own solution as the best fit.

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the data given below are from the accounting records of the kuhn corporation: net income (accrual basis) $ 58,000 depreciation expense $ 15,500 decrease in accounts payable $ 3,150 decrease in inventory $ 3,650 increase in bonds payable $ 16,500 sale of common stock for cash $ 31,300 increase in accounts receivable $ 5,800 based on this information, the net cash provided by (used in) operating activities using the indirect method would be:

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The net cash provided by operating activities using the indirect method is $9,200.

To determine the net cash provided by (used in) operating activities using the indirect method, we need to adjust the net income for non-cash expenses and changes in working capital.

First, we add back the depreciation expense to the net income since it is a non-cash expense. This increases the net income by $15,500.

Next, we consider the changes in working capital accounts.

The decrease in accounts payable indicates that cash was used to pay off some liabilities, resulting in a decrease of $3,150 in cash.

The decrease in inventory means that cash was generated by selling inventory, resulting in an increase of $3,650 in cash.

The increase in accounts receivable suggests that cash was tied up in outstanding receivables, resulting in a decrease of $5,800 in cash.

The overall effect of these changes in working capital is a decrease in cash of $5,800 - $3,150 + $3,650 = $6,300.

Finally, we need to consider any financing activities. In this case, the increase in bonds payable and the sale of common stock for cash represent cash inflows, totaling $16,500 + $31,300 = $47,800.

To calculate the net cash provided by (used in) operating activities, we sum up the adjustments: $15,500 - $6,300 = $9,200.

Therefore, the net cash provided by operating activities using the indirect method is $9,200.

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8 Benefits of a multilateral netting system include:a) The decrease in the expense associated with funds transfer, which in some cases can be over $1,000 for a large international transfer of foreign exchange.b) The reduction in the number of foreign exchange transactions and the associated cost of making fewer but larger transactions.c) The reduction in intracompany float, which is frequently as high as five days even for wire transfers.d) The benefits that accrue from the establishment of a formal information system, which serves as the foundation for centrally managing transaction exposure and the investment of excess funds.e) All of the above

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The multilateral netting system include all the conditions are mentioned. The correct option is e.

The 8 benefits of a multilateral netting system include:

1) Decrease in expense associated with funds transfer, saving on large international transfer fees.
2) Reduction in the number of foreign exchange transactions, lowering the associated costs of making fewer but larger transactions.
3) Reduction in intracompany float, minimizing the time delay in transferring funds.
4) Benefits from the establishment of a formal information system, enabling central management of transaction exposure and investment of excess funds.
5) Improved cash flow forecasting and visibility, allowing better financial planning and resource allocation.
6) Enhanced risk management by reducing currency exposure and fluctuations, resulting in more stable financial operations.
7) Streamlined payment processes, improving operational efficiency and reducing the need for manual interventions.
8) Strengthened internal controls and compliance, by implementing a centralized and standardized approach to managing transactions.

Thus, the multilateral netting system include all the conditions are mentioned.

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what are some the ways in which international trade is the same as domestic trade? how is it different?

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There are several ways in which international trade is the same as domestic trade:

Both types of trade involve the exchange of goods and services between buyers and sellers.

Both types of trade require that buyers and sellers agree on a price for the goods and services being traded.

Both types of trade can be conducted through a variety of channels, including online marketplaces, brick-and-mortar stores, and auctions.

Both types of trade can be influenced by factors such as supply and demand, government policies, and consumer preferences.

However, there are also several ways in which international trade is different from domestic Price:

International trade typically involves the movement of goods and services across national borders, while domestic trade is conducted within a single country.

International trade is subject to a variety of regulations and barriers, such as tariffs, quotas, and trade agreements, which can affect the cost and availability of goods and services.

International trade often involves the use of different currencies, which can affect the price of goods and services and make it more difficult to conduct trade.

International trade can have a larger impact on the economy of a country than domestic trade, as it can involve the exchange of goods and services between countries with different levels of economic development and resources.  

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When teaching a client about automatic epinephrine injectors, which client statement indicates a misunderstanding of the process? 1."I will keep my injectors in my car and in my personal bag all the time.
"2"I will keep the device away from light.
"3"If the cap is loose, I will obtain a replacement device.
"4"I will have at least two medication-filled devices on hand at all times."

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The client statement that indicates a misunderstanding of the process is:

"I will keep the device away from light."

This statement is incorrect because automatic epinephrine injectors should be stored at room temperature and should not be exposed to excessive heat, cold, or humidity. Keeping the device in a cool, dry place and away from direct sunlight is recommended to maintain the effectiveness of the medication. Therefore, the correct answer is:

"I will keep the device at room temperature and away from excessive heat, cold, or humidity."  

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