Gotham University offers only high-tech graduate-level programs. Gotham has two principal operating departments, Engineering and Computer Sciences, and two support departments, Facility and Technology Maintenance and Enrollment Services. The base used to allocate facility and technology maintenance is budgeted total maintenance hours. The base used to allocate enrollment services is number of credit hours for a department. The Facility and Technology Maintenance budget is $350,000, while the Enrollment Services budget is $950,000. The following chart summarizes budgeted amounts and allocation-base amounts used by each department:

Budget Engineering Computer Sciences F&T Maintenance Enrollment Service
F&T Maintenance hours $350,000 2,000 5,000 zero 1,000
Enrollment Service hours $950,000 24,000 36,000 2,000 zero

Required:
Prepare a schedule showing the support costs allocated to each department.

Answers

Answer 1

Answer:

Answer is explained in the explanation section below.

Explanation:

Solution:

First, we need to sort the data given to solve:

Data Given:

F&T Maintenance Hours:

Budget = $350,000

Engineering = 2,000

Computer Sciences =  5,000

F&T Maintenance = zero

Enrollment Service = 1,000

Enrollment Service hours:

Budget = $950,000

Engineering = 24,000

Computer Sciences =  36,000

F&T Maintenance = 2,000

Enrollment Service = zero

To solve this question, we are using the direct method to allocate the support cost.

Schedule to allocate the supporting costs.

F&T maintenance:

For Engineering

$350,000 × 2/7 =   $100,000

For Computer Science

$350,000 × 5/7 = $250,000

Enrollment Service:

For Engineering

$950,000 × 24/60 = $380,000

For Computer Science

$950,000 × 36/60 = $570,000

Total:

For Engineering Total = $100,000 + $380,000 = $480,000

For Computer Science Total = $250,000 + $570,000 = $820,000


Related Questions

Fischer Company has outstanding 8,000 shares of $100 par value, 5% preferred stock, and 50,000 shares of $1 par value common stock. The company has $328,000 of retained earnings. At year-end, the company declares and pays the regular $5 per share cash dividend on preferred stock and a $1.80 per share cash dividend on common stock. What is the total dividends paid by Fischer Company

Answers

Answer:

The appropriate solution is "$130,000".

Explanation:

The given values are:

No. of common shares outstanding

= 50,000

Dividend per share

= $1.80

No. of preferred shares outstanding

= 8,000

Dividend per share

= $5

Now,

The total dividend on common shares will be:

=  [tex]No. \ of \ common \ shared \ outstanding\times Dividend \ per \ share[/tex]

On substituting the values, we get

=  [tex]50,000\times 1.80[/tex]

=  [tex]90,000[/tex] ($)

The total dividend on preferred stock will be:

=  [tex]No. \ of \ preferred \ shares \ outstanding\times Divided \ per \ share[/tex]

On substituting the values, we get

=  [tex]8,000\times 5[/tex]

=  [tex]40,000[/tex] ($)

Hence,

The total dividend paid by company will be:

=  [tex]Total \ dividend \ on \ common \ shares +Total \ dividend \ on \ preferred \ stock[/tex]

=  [tex]90,000+40,000[/tex]

=  [tex]130,000[/tex] ($)

Thus the above is the correct answer.

g Marlboro Construction enters into a contract with a customer to build a warehouse for $725,000 on April 15, 2021 with a completion date of September 15, 2021. The contract contains a performance clause such that Marlboro will receive a $12,000 bonus for each week the contract is completed early. Likewise, the agreed contract price will be reduced by $12,000 for each week the contract is completed after the due date. These clauses are commonly included in Marlboro contracts and, based on prior experience, estimates the following completion outcomes: Completed by Probability September 1 10% September 8 30% September 15 25% September 22 20% September 29 15% The transaction price for this transaction, using the most likely amount method is A. $471,250 B. $725,000 C. $737,000 D. $713,000

Answers

Answer:

B. $725,000

Explanation:

The expected value for the contract will be :

10% ($725,000 + 12,000 + 12,000 ) + 30% ($725,000 + 12,000 ) + 25% ($725,000 ) + 20% ($725,000 - 12,000 ) + 15% ($725,000 - 12,000 - 12,000 )

= $ 74,900 + $221,100 +$181,250 + $142,600 + $105,150 = $725,000

Marlboro constructions expected value of the contract is 725,000 based on the given probability estimates of contract completion.

The goal of the review in a business presentation is to Multiple choice question. compel audience members to consider taking specific actions. lead audience members in participating in a dramatic demonstration. tie together the meaning of any visual aids used in the presentation. provide a brief evaluation of the speaker's reaction to audience members.

Answers

Answer:

provide a brief evaluation of the speaker's reaction to audience members.

Explanation:

In a business presentation review, the main objective is to provide a brief assessment of the speaker's reaction to audience members, that is, the objective is to share with the members of that company how business was conducted, what efforts were achieved and how company is moving into the market. Sharing a brief assessment of the speaker's reaction with members helps to create a sense of belonging to the company, identification of members and satisfaction with the results achieved, thus increasing reliability and appreciation at work, strengthening integration, productivity and organizational culture.

Both __________ and __________ affect the awareness and motivation of a firm to undertake actions and responses. a. first-mover advantages; corporate size b. market commonality; resource similarity c. management capabilities; competitive analysis d. speed of management decisions; management actions

Answers

Answer:

b. market commonality; resource similarity

Explanation:

The two things that can impact the awareness and the motivation so that the firm could take the actions and responses is that the market commodity where the company deals with and the similarity of the resources. These two things would be required that can impact the awareness and the motivation level of the firm

hence, the option b is correct

Rainey Company's true cash balance at October 31 is $4,700. The following information is available for the bank reconciliation: Outstanding checks, $740 Deposits in transit, $540 Bank service charges, $110 The bank had collected an account receivable for Rainey Company, $1,200 The bank statement included an NSF check written by one of Ramsey's customers for $720. What was the unadjusted book balance at October 31

Answers

Answer: $4330

Explanation:

The unadjusted book balance at October 31 is calculated below:

True cash balance = $4700

Add: Bank service charge = $110

Add: NSF Check = $720

Less: Account receivable = $1200

Unadjusted book balance = $4330

What is a planned economy regulated by?

Answers

Explanation:

The government regulates the interactions between producers and consumers.

In your own words, discuss GAP management and then suggest a way to reduce the impact of its limitation. Do not duplicate limitations and solutions; that is, you can discuss the same limitation as a fellow student if you are able to suggest a different way of reducing the impact.

Answers

Answer:

Gap management is a strategy which every business follows. A business can be successful only if it sets goals for its future.

Explanation:

Gap management is the difference between where an organization stands today and where it wants to be in future. A company's management will set its own targets and then sets position of the company. There are limitation of gap management as there can be targets which are sometimes unachievable or there are some external forces which hinders the business progress.

The multiplier effect occurs when an initial increase (or decrease) in autonomous expenditure produces a greater increase (or decrease) in real GDP than the initial change. In which type of discretionary fiscal policy does the multiplier play a role? tax changes only neither government spending changes nor tax changes government spending changes only both government spending changes and tax changes Assume a marginal propensity to consume (MPC) of 0.5. Which discretionary fiscal policy would have a more pronounced impact on the economy? A 800 billion dollar increase in government spending, or a 800 billion dollar tax cut, would both have an equal impact on the economy. A 800 billion dollar increase in government spending would have a more pronounced impact on the economy. A 800 billion dollar tax cut would have a more pronounced impact on the economy.

Answers

Answer:

The answer is "Choice d and Choice b".

Explanation:

In question 1:

The multiplier effect is produced whenever an initial rise (or decrease) of self-employed market capitalization (or decreases) GDP Growth higher than the original change. Where both increases in public spending or adjustments in taxes are produced by a budgetary monetary strategy, a multiplier mostly on the economy plays a major role in public spending and new taxes.

In question 2:

This marginal demand risk of 0.5 would have a more noticeable influence on financial spending, via an 800 billion dollar increase in government expenditure. This will have more major economic effects on fiscal policy. More noticeable effects of increased spending will have on the aggregate throughout the economy.

The use of government budget funding policies to impact economic factors, particularly macroeconomic variables such as aggregate consumer spending, employment, inflation, and economic growth, is referred to as fiscal policy.

How is a fiscal policy that is discretionarily chosen?

The multiplier impact occurs anytime an initial increase (or drop) in self-employed market capitalization (or reduces) GDP Growth that is greater than the original change.

When a fiscal monetary strategy produces both increases in public expenditure and tax adjustments, a multiplier based primarily on the economy plays a significant role in both public spending and new taxes.

This marginal demand risk of 0.5 would have a greater impact on financial expenditures, resulting in an 800 billion dollar rise in government spending.

This will have a greater impact on budgetary policy. The aggregate consequences of higher expenditure will be more visible throughout the economy.

Thus, Options B and D are correct.

For more information about discretionary fiscal policy refer to the link:

https://brainly.com/question/1114207

e) Wesley Publishing has an office in England that would like the American office to share their

data on profits. What steps should the American office take in order to determine the profits in

pounds for the England office? (2 points)

I

Answers

Answer:

He should make sure he has the right profits then he should see how much things are going to cost, and then finalize it.

Explanation:

Sorry y'all I am having troubles with this assignment sorry if I get it wrong

In January, Prahbu purchased a new machine for use in an existing production line of his manufacturing business for $98,000. Assume that the machine is a unit of property and is not a material or supply. Prahbu pays $3,925 to install the machine, and after the machine is installed, he pays $2,250 to perform a critical test on the machine to ensure that it will operate in accordance with quality standards. On November 1, the critical test is complete, and Prahbu places the machine in service on the production line. On December 3, Prahbu pays another $5,200 to perform periodic quality control testing after the machine is placed in service. How much will Prahbu be required to capitalize as the cost of the machine

Answers

Answer:

$104,175

Explanation:

Calculation to determine How much will Prahbu be required to capitalize as the cost of the machine

Purchase price $98,000

Add Installation cost $3,925

Add Critical test cost $2,250

Machine Capitalize cost $104,175

($98,000+$3,925+$2,250)

Therefore How much will Prahbu be required to capitalize as the cost of the machine is $104,175

In an indirect message, valid reasons for the refusal are presented before the bad news. Which option is most effective? a.If we accepted your rather dated desktops and laptops, we would risk software incompatibility, high repair bills, and substantial replacement costs for missing input and output devices. b.We're very sorry but our policy does not allow us to accept donations of used computing equipment. c.We had to establish guidelines for the acceptance of used computing equipment because only new computers provide warranties, compatible software, and come with matching peripherals.

Answers

Answer:

c.We had to establish guidelines for the acceptance of used computing equipment because only new computers provide warranties, compatible software, and come with matching peripherals.

Explanation:

An indirect message aims to soften bad news, to achieve this goal the message is transmitted through a soothing speech, where there is an explanation of the reasons for the bad news before reaching the fact, in order to cushion the impact that the message may cause. Indirect discourse is more accepted in the case of the transmission of bad news, as individuals generally tend to better understand the facts when they are explained through evidence.

Therefore, the letter c corresponds more adequately to an indirect speech.

The management of Mitchell Labs decided to go private in 2002 by buying all 3.30 million of its outstanding shares at $17.50 per share. By 2006, management had restructured the company by selling off the petroleum research division for $13.50 million, the fiber technology division for $9.25 million, and the synthetic products division for $23 million. Because these divisions had been only marginally profitable, Mitchell Labs is a stronger company after the restructuring. Mitchell is now able to concentrate exclusively on contract research and will generate earnings per share of $1.40 this year. Investment bankers have contacted the firm and indicated that if it reentered the public market, the 3.30 million shares it purchased to go private could now be reissued to the public at a P/E ratio of 12 times earnings per share.

Required:
a. What was the initial cost to Mitchell Labs to go private?
b. What is the total value to the company from (1) the proceeds of the divisions that were sold, as well as (2) the current value of the 3.30 million shares (based on current earnings and an anticipated P/E of 12)?
c. What is the percentage return to the management of Mitchell Labs from the restructuring?

Answers

Answer: See explanation

Explanation:

a. What was the initial cost to Mitchell Labs to go private?

This will be calculated as:

= Price per share × Number of shares

= $17.50 × 3.3 million

= $57.75 million

b. What is the total value to the company from (1) the proceeds of the divisions that were sold, as well as (2) the current value of the 3.30 million shares (based on current earnings and an anticipated P/E of 12)?

This will be calculated as:

= $13.5 Million + $9.25 Million + $23 Million + [(12 X $ 1.40) × 3.3 Million]

= $45.75 Million + $55.44 Million

= $101.19 Million

c. What is the percentage return to the management of Mitchell Labs from the restructuring?

This will be calculated as:

= {$101.19 Million - $57.75 Million} /$57.75 Million

= $43.44/$57.75 × 100

= 0.7522 × 100

= 75.22%

You are planning to save for retirement over the next 35 years. To do this, you will invest $710 per month in a stock account and $310 per month in a bond account. The return of the stock account is expected to be 9.1 percent, and the bond account will earn 5.1 percent. When you retire, you will combine your money into an account with an annual return of 6.1 percent. Assume the returns are expressed as APRs.

How much can you withdraw each month from your account assuming a 30-year withdrawal period?

Answers

Answer:

monthly payment = $16,162.87

Explanation:

future value of stock account = $710 x= [(1 + 0.00758333)⁴²⁰- 1 ] / 0.00758333 = $2,142,045

future value of bond account = $310 x= [(1 + 0.00425)⁴²⁰- 1 ] / 0.00425 = $360,116

future value = $2,502,161

PVIFA = [1 - 1/(1 + 0.0050833)³⁶⁰ ] / 0.0050833 = 165.019

monthly payment = $2,502,161 / 165.019 = $16,162.87

Questions and answer

Answers

That was the last one , Good night

Myrna and Geoffrey filed a joint tax return in 2018. Their AGI was $85,000, and itemized deductions were $24,700, which included $7,000 in state income tax and no other state or local taxes. In 2019, they received a $1,800 refund of the state income taxes that they paid in 2018. The standard deduction for married filing jointly in 2018 was $24,000.
Under the tax benefit rule, what amount of the state income tax refund is included in gross income in 2019?

Answers

Answer:

$700

Explanation:

Calculation for what amount of the state income tax refund is included in gross income in 2019

Standard deduction for married filing jointly in 2018 $24,000

Less itemized deductions ($24,700)

State income tax refund included in gross income in 2019 $700

($24,000-$24,700)

Therefore the state income tax refund that is included in gross income in 2019 will be $700

Feng needs to export Access data that contains a table of contacts. This table will be used to create personalized
mailings. Which type of export should he choose?

O Access
O Word Merge
O Excel
O XML file

Answers

Answer:

if i answer this pls answer mine the answer is b

Explanation:

The table and scatterplot shows the additional plant growth measured each day for particular days.

Which two points should the trend line go through to best represent the data given in this scatterplot?

2, 1) and (3, 1.5)

(2, 1) and (5, 2)

(6, 2) and (8, 2)

(6, 2) and (10.1.75)

do you know the answer to this

A company issued 5%, 20-year bonds with a face amount of $100 million. The market yield for bonds of similar risk and maturity is 4%. Interest is paid semiannually. At what price did the bonds sell

Answers

Answer:

The bond was sold at $1,136.78.

Explanation:

Annual coupon = Bond face value * Coupon rate = $1000 * 5% = $50

Annual coupon discount factor = ((1 - (1 / (1 + r))^n) / r) .......... (1)

Where;

r = semi-annul interest rate = 4% / 2 = 2%, or 0.02

n = number of period = 20 years * Number of semiannuals in a year = 20 * 2 = 40 semi-annuals

Substituting the values into equation (1), we have:

Annual coupon discount factor = ((1-(1/(1 + 0.02))^40)/0.02) = 27.3554792407382

Present value of coupon = (Annual coupon * Annual coupon discount factor) / 2 = ($50 * 27.3554792407382) / 2 = $683.886981018455

Present value of the face value of the bond = Face value / (1 + r)^n = $1,000 / (1 + 0.02)^40 = $452.890415185236

Therefore, we have:

Price of bond = Present value of coupon + Present value of the face value of the bond = $683.886981018455 + $452.890415185236 = $1,136.77739620369

Approximating to 2 decimal places, we have:

Price of bond = $1,136.78

Therefore, the bond was sold at $1,136.78.

As a manager seeks to develop her leadership skills, she should be aware that:______.
A. There is one best leadership style to which all managers should aspire
B. Leadership is first and foremost about establishing a deep knowledge of their industry
C. Ideally, managers will have both management and leadership skills
D. Leadership is primarily about personal efficiency

Answers

Answer:

B. Leadership is first and foremost about establishing a deep knowledge of their industry.

Explanation:

Leadership is the capacity of a person to influence the actions of others to deliver on set goals and objectives. A leader is someone who gets things done through others.

A manager who seeks to develop her leadership skills should be aware that leadership is first and foremost about establishing a deep knowledge of their industry. As an aspiring leader, a manager must have full knowledge of the industry he or she is working. This is important because the manager would be able to effectively direct, control, motivate and influence people he is leading due to the vast experience gotten from the industry he is operating.

Answer:

Ideally, managers will have both management and leadership skills

Explanation:

just took the test

22. An employment contract is an agreement between the manager and top management designed to provide incentives for the manager to act: Group of answer choices Consistently with that of other managers. Independently to achieve the manager's objectives. Independently to achieve top management's objectives. Independently to achieve the customer's objectives.

Answers

Answer:

Independently to achieve top management's objectives.

Explanation:

A contract can be defined as an agreement between two or more parties (group of people) which gives rise to a mutual legal obligation or enforceable by law.

There are different types of contract in business and these includes: fixed-price contract, cost-plus contract, bilateral contract, implies contract, unilateral contract, adhesion contract, unconscionable contract, option contract, express contract, etc.

Hence, an employment contract is an agreement between the manager and top management designed to provide incentives for the manager to act independently to achieve top management's objectives because they are playing a fiduciary duty or role.

Cost of Living The City of St. Albans has a unionized police force that is coming up for a contract renewal. The police have one issue: the cost of living increases. During the past 10 years, police officers have received minimal cost of living increases, and this time they want to match what other police forces are making. They claim that their salaries are below the national level. The incoming new police hire earns a salary of $48,200.

Required:
Prepare the data and an argument on behalf of the police officers to support their position.

Answers

Answer:

Police officers are national servants. Their salary needs to be adequate so that they can maintain their standard of living.

Explanation:

Police officers should be paid according to their level of skills and expertise. If they are paid below their minimal cost of living then they will feel demotivated and will not be able to justify their job role. They need to be self motivated with their adequate pay so they feel pride to serve the nation. The police officers should be paid equally to the new police hire salary which is $48,200.

you are required to write a report and in this report you are to consider the importance of understanding the business environment​

Answers

Answer:

The understanding of its business environment helps an organization to make realistic plans and ensure their effective implementation. It also helps thebusiness enterprise in identification of opportunities and threats.

Explanation:

I am not sure if this is what you wanted

Following is the stockholders’ equity section from the The Coca-Cola Company 2017 balance sheet. (All amounts in millions except par value.)

The Coca-Cola Company Shareowners' Equity December 31, 2017
Common stock-$0.25 par value; authorized-11,200 shares; issued-7,040 shares $1,760
Capital surplus 15,864
Reinvested earnings 60,430
Accumulated other comprehensive income (loss) (10,305)
Treasury stock, at cost-2,781 shares (50,677)
Equity attributable to shareowners of The Coca-Cola Company $17,072

Required:
a. Compute the number of shares outstanding.
b. At what average price were the Coca-Cola shares issued? Round answer to two decimal places.

Answers

Answer and Explanation:

a. The computation of the no of shares outstanding is shown below:

No. of shares outstanding is

= shares issued - shares held as treasury stock

= 7,040 shares - 2,781 shares

= 4,259 shares

b. The average price is

= (Common Stock value + Capital Surplus) ÷ No. of shares issued

=($1,760 + $15,864) ÷ 4259 shares

= $4.14

MECCS Inc. stock paid its annual dividends of $4.90 per share yesterday. The dividend is expected to decrease at a constant rate of 2.50 percent per year indefinitely. Investors require a rate of return of 8.60 percent on the stock. How much should one share of the stock be priced today

Answers

Answer: $43

Explanation:

The current stock price will be calculated as:

= Do(1 - g) / (Ke + g)

where,

Do = $ 4.90

g = 2.50%

Ke = 8.60%

Po = [4.90 - (1 - 0.025)] / [0.086 + 0.025]

Po = 4.7775 / 0.111

Po = $43

The price of one share of the stock today will be $43

Macroeconomic factors that influence interest rate levels
1. T or F: During the credit crisis of 2008, investors around the worls were fearful about the collapse of real estate markets, shaky stock markets, and illiquidity of several securities in the US and several other nations. The demand for US treasury bonds increased, which led to a rise in their price and a decline in their yields.
2. T or F: When the ecnomy is weakening, the Fed is likely to increase short-term interest rates.
3. T or F: When the Fed increses the money supply, short-term interest rates tend to decline.
4. T of F: the Federal Reserve Board has significant influence over the level of economic activity, inflation, and interest rates in the US.

Answers

Answer:

1. True

2. False

3. False

4. True

Explanation:

Federal excise duty is the government rate which is set to control the money supply in an economy. When Fed rises the interest rate decline while money supply increases.

The crisis during 2008 led the world towards declining their economic growth. The shaky stock market runs fear in the investors and they withdrew their money from the stock and other risky and invested their earning and savings in safe and secure treasury bonds. This led the government to raise the prices of treasury bonds and the returns of the bonds declined.

Crane Company uses a periodic inventory system. Details for the inventory account for the month of January, 2020 are as follows: Units Per unit price Total Balance, 1/1/20 150$4.00$600 Purchase, 1/15/20 705.10 357 Purchase, 1/28/20 705.30 371 An end of the month (1/31/20) inventory showed that 110 units were on hand. If the company uses LIFO, what is the value of the ending inventory

Answers

Answer:

Crane Company

If Crane Company uses LIFO, the value of the ending inventory is:

= $440.

Explanation:

a) Data and Calculations:

                               Units   Unit Cost   Total Cost

1/1/20 inventory      150      $4.00         $600

1/15/20 Purchase,    70         5.10            357

1/28/20 Purchase,   70        5.30            371

Total                      240                       $1,328

1/31/20 inventory   110       $4.00         $440 ($4.00 * 110)

b) The LIFO method assumes that goods that are sold first are the last that were purchased.  Therefore, the cost of the ending inventory is usually based on the cost of the earlier inventory purchased.  In our case, the cost per unit was based on the beginning inventory balance.

 

Ecology Co. sells a biodegradable product called Dissol and has predicted the following sales for the first four months of the current year: Jan. Feb. March April Sales in units 1,700 1,900 2,100 1,600 Ending inventory for each month should be 20% of the next month's sales, and the December 31 inventory is consistent with that policy. How many units should be purchased in February

Answers

Answer:

Purchases - February = 1940 units

Explanation:

To calculate the units to be purchased in February, we first need to calculate the opening and closing inventory for the month of February. We know that the closing inventory each month is equal to 20% of next month's sale, so we can calculate the closing inventory for January (which will be opening inventory for February) as,

Opening Inventory - February = 20% * 1900    => 380 units

We can also calculate the ending inventory for February by using the expected sales of March.

Closing Inventory - February = 20% * 2100    => 420 units

The purchases for February can be calculated as follows,

Units Sold = Opening inventory + Purchases - Closing Inventory

1900 = 380 + Purchases - 420

1900 + 420 - 380 = Purchases

Purchases = 1940 units

Judge made laws are known as

Answers

I found this online :

In law, common law (also known as judicial precedent or judge-made law, or case law) is the body of law created by judges and similar quasi-judicial tribunals by virtue of being stated in written opinions. The defining characteristic of “common law” is that it arises as precedent.

PLEASE HELP!! This is economics/business work. Will give brainliest if correct!!

Answers

IM NOT SURE but I THINK it is 1 Korean car costs 3 motorcycles
i’m pretty sure it’s the last one not 100% sure but i think this because for every car there is 3 motorcycles

The following information relates to Schmidt Sausage Co.'s defined benefit pension plan during the current reporting year: ($ in millions) Plan assets beginning of the year $ 400 Expected return on plan assets 40 Actual return on plan assets 32 Cash contributions 60 Amortization of net loss 8 Retiree benefits 9 Required: Determine the amount of pension plan assets at fair value on December 31.

Answers

Answer:

400 dollars is expected on the year and return the asssests as 40 actual return is actually 32 but then u add a little and get 60 so then you lose 8 dollars because your mom wanted u to buy something for her then retiree from your job and get 9 dollars of benefit that you need the amount of a pension plens assest a fair in december 33

Explanation:

Portfolio Returns i. stock has mean of 8% and stdev of 20%; ii bond has mean of 6% and stdev of 15%; iii correlation b/w stock and bond of -0.3; iv. Risk free rate for cash lending and borrowing is at 1%. a. What is the mean and stdev of a portfolio of that is 60% in stock and 40% in bond (3 points)

Answers

Answer:

Portfolio Mean = 7.2%

Portfolio Stdev = 0.1169615 or 11.69615% rounded off to 11.70%

Explanation:

The mean return of a portfolio consisting of two securities can be calculated by multiplying the weight of each security in the portfolio by the mean return of that security and adding the products for each security. The formula for two asset or security portfolio return (mean) can be written as follows,

Portfolio Mean = wA * rA  +  wB  *  rB

Where,

w represents the weight of each securityr represents the mean return of each security

Portfolio Mean = 60% * 8%  +  40% * 6%

Portfolio Mean = 7.2%

The standard deviation is a measure of the total risk. The standard deviation of a portfolio consisting of two securities can be calculated using the attached formula.

Portfolio Stdev = √(0.6)² (0.2)² + (0.4)² (0.15)² + 2(0.6) (0.4) (-0.3) (0.2) (0.15)

Portfolio Stdev = 0.1169615 or 11.69615% rounded off to 11.70%

Other Questions
A psychologist is interested in exploring the effect tutorial support on students academic performance and assign students in to two groups.students in group one get the tutorial support and those in group two do not.In this example what is dependent variable,independent variable,control groupand experimental group I am a word for a nation where the laws are created by representative who are elected by the people Which statement correctly describes the relationship between air temperature and air pressure?-Warm air rises, creating an area of low pressure.-Cool air sinks, creating an area of low pressure.-Warm air sinks, creating an area of low pressure.-Cool air rises, creating an area of low pressure. At a middle school, 40% of seventh graders have takenswimming lessons. If there are 250 studnets in theseventh grade, how many of them have taken swimminglessons? The Union strategy to strangle the south was called the Assume that Simple Co. had credit sales of $280,000 and cost of goods sold of $165,000 for the period. It estimates that 2 percent of credit sales in uncollectible accounts when it uses the percentage of credit sales method and it estimates that the appropriate ending balance in the Allowance for Doubtful Accounts is $6,900 when it uses the aging method. Before the end-of-period adjustment is made, the Allowance for Doubtful Accounts has a credit balance of $400.Required:Prepare the journal entry to record the end-of-period adjustment for bad debts under the (a) percentage of credit sales method and (b) aging of accounts receivable method. I need help please ASAP! Chinese Write a passage from the perspective of a bird flying over a landscape. Do not mention the bird. PLEASE HELP IT"S URGENT Which figure has the greater Volume?? Can someone pls help me with this question??!!Based on how it is used what is a saloon? A. a marketplace B. a barC. a place where people get their hair doneD. a tenement Suppose you are asked to pick 3 numbers from 1 to 20 to win a prize. What is the probability that one of the numbers you will pick is the winning number?A) 20%B) 15%C) 5%D) 10% You are designing an icon for a mobil app. Use the provided ruler to answer the following questions.a. Find the perimeter and area of the icon in the scale drawing. Round your measurements for the length and the width to the nearest half centimeter to calculate your answers. The perimeter in the scale drawing is ____ centimeters. The area in the scale drawing is ____ square centimeters.b. Find the actual perimeter and area of the icon. The actual perimeter is ____ millimeters. The actual area is ____ square millimeters.Please help me fill in the blanks also it shows 1cm:2.5mm, and the length is 3.5 and the width is 3. What is the circumference of the outer edge of the path around the pool? yall need to stop trying to make us pay and watch videos people really need these answersyall dtm for no reason i hate this app and im not using it again period!!!!! Kata gets on a moving walkway at the airport. Then, 8 s after she gets on, she taps Lisa, who is standing alongside the walkway. The graph shows Kata's distance from Lisa over time. Calculate the rate of change in her distance from Lisa from 6 s to 8 s, and then from 8 s to 12 s. What do the rates of change mean in terms of Katas movement? The age of a first-grader on September 1 at Garden Elementary School has the following distribution: f (x )space equals space 1 comma space space 5.8 less or equal than x less or equal than 6.8 We randomly select one first-grader from the class. Find the probability that she is over 6.5 years old. Round to one decimal place. (Last Word) Fixed costs for a firm are analogous to: Group of answer choices starting out in a hole that represents economic losses if the firm produces nothing. digging a deeper financial hole by producing when prices are too low. the cost of the shovel needed to fill the financial hole. the dirt that fills up the financial hole. What is the amount of work required to increase a 1100 kg car's speed from 20.0 m/s to 30.0 m/s? 3. The population of a city grows at a rate of 5% peryear. The population in 1990 was 400,000. In what yearwill the population exceed 1,000,000?(CED.1)A. 2000B. 2008C. 2009D. 2010 factorise 21ax+10by-35ay-6bxwith working pls