Based on m = 252 trading days per year, if annual
volatility is 32% then the standard deviation of daily returns is
_________ percent.

Answers

Answer 1

The standard deviation of daily returns, based on an annual volatility of 32% and 252 trading days per year, is approximately 2.02%.

To calculate the standard deviation of daily returns, we can use the formula:

Standard Deviation of Daily Returns = Annual Volatility / √(Number of Trading Days)

Given an annual volatility of 32% and 252 trading days per year, we can plug in the values:

Standard Deviation of Daily Returns = 32% / √(252)

Calculating the square root of 252, we have:

Standard Deviation of Daily Returns = 32% / 15.874

Simplifying the equation, we find:

Standard Deviation of Daily Returns ≈ 2.02%

Therefore, based on the given annual volatility and the number of trading days per year, the standard deviation of daily returns is approximately 2.02%. This measures the average daily fluctuation or volatility in the investment's returns.

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Related Questions

The supply constrained differential pricing problem is modelled as a non-liner program, why?

Group of answer choices

The supply constraint is quadratic

Product demand is a non-linear function of price

The objective function is non-linear

Demand between the segments is correlated

Answers

The correct answer is b. Product demand is a non-linear function of price.

In the supply constrained differential pricing problem, the demand for a product is typically a non-linear function of its price. This non-linear relationship arises due to various factors such as consumer behavior, price elasticity, and market dynamics. As the price changes, the quantity demanded may not change linearly, but rather exhibit non-linear patterns.

To optimize the pricing strategy and determine the optimal prices, a non-linear programming approach is used. The objective is to maximize profit or revenue, subject to the supply constraint and the non-linear relationship between price and demand. Non-linear programming techniques are specifically designed to handle problems with non-linear objective functions or constraints, making it an appropriate modeling approach for the supply constrained differential pricing problem.

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The Iron River Company has an ROE of 14.7 percent and a payout ratio of 40 percent. What is the company's sustainable growth rate? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
Sustainable growth rate ____ %

Answers

Sustainable growth rate is the maximum growth rate that a company can achieve without having to issue new equity or increase its financial leverage. Therefore, it is important for companies to calculate the sustainable growth rate to ensure that they are operating efficiently and are not overextending themselves.

ROE is the return on equity that a company generates, and it is the most important metric for shareholders to consider when evaluating a company's performance. The sustainable growth rate can be calculated using the following formula: Sustainable Growth Rate = (ROE x (1 - Payout Ratio).

Here, we know that the ROE of the Iron River Company is 14.7%, and its payout ratio is 40%. Therefore, we can substitute these values into the formula: Sustainable Growth Rate = (14.7% x (1 - 40%))= 8.82%Therefore, the sustainable growth rate of the Iron River Company is 8.82%. Hence, the required answer is 8.82%.

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Hemming Company reported the following current-year purchases and sales for its only product. Determine the costs assigned to ending inventory and to cost of goods 50 id using FIFO. Required information Required 2> 1. Required information Compute the gross profit for FIFO method and LIFO method.

Answers

To compute the gross profit for the FIFO method and LIFO method, we need more information such as the selling prices and any other relevant expenses. The given information does not provide the selling prices, which are required to calculate the gross profit.

To determine the costs assigned to ending inventory and the cost of goods sold using the FIFO (First-in, First-out) method.  
1. Start by analyzing the purchases and sales data provided by Hemming Company.

2. Under the FIFO method, we assume that the items purchased first are the first ones to be sold. Therefore, the costs associated with the earliest purchases will be assigned to the cost of goods sold, while the costs associated with the most recent purchases will be assigned to the ending inventory.

3. Calculate the cost of goods sold by adding up the costs of the items sold during the year. Since we don't have the specific values for each sale, we can calculate the cost of goods sold by multiplying the number of units sold by the cost per unit of the earliest purchases.

4. Subtract the cost of goods sold from the total cost of the purchases to determine the cost assigned to the ending inventory.

Now, to compute the gross profit for the FIFO method and LIFO method, we need more information such as the selling prices and any other relevant expenses. Please provide these details so that I can assist you further.

Keep in mind that the given information does not provide the selling prices, which are required to calculate the gross profit.

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Problem 8-02 You are considering investing in three stocks with the following expected returns: Stock A 7 % Stock B 15 Stock C 20 What is the expected return on the portfolio if an equal amount is invested in each stock? Round your answer to two decimal places. % What would be the expected return if 40 percent of your funds is invested in stock A and the remaining funds are split evenly between stocks B and C? Round your answer to two decimal places. %

Answers

The expected return on the portfolio with 40% investment in Stock A and the remaining funds split evenly between Stocks B and C is 13.3%.

To calculate the expected return on the portfolio, calculate the weighted average of the expected returns of each stock based on the allocation of funds. Let's calculate both scenarios:

1. Equal investment in each stock:

The expected return for each stock is as follows:

Stock A: 7%

Stock B: 15%

Stock C: 20%

Since an equal amount is invested in each stock, the weight for each stock would be 1/3.

Expected return on the portfolio = (Weight of Stock A * Return of Stock A) + (Weight of Stock B * Return of Stock B) + (Weight of Stock C * Return of Stock C)

Expected return on the portfolio = (1/3 * 7%) + (1/3 * 15%) + (1/3 * 20%)

Expected return on the portfolio = 7% + 5% + 6.67%

Expected return on the portfolio = 18.67%

Therefore, the expected return on the portfolio with equal investment in each stock is 18.67%.

2. 40% investment in Stock A, and remaining funds split evenly between Stocks B and C:

The expected return for each stock is the same as before:

Stock A: 7%

Stock B: 15%

Stock C: 20%

The weight for Stock A would be 40% (or 0.4), and the weight for Stocks B and C would be (1 - 0.4) / 2 = 30% (or 0.3).

Expected return on the portfolio = (Weight of Stock A * Return of Stock A) + (Weight of Stock B * Return of Stock B) + (Weight of Stock C * Return of Stock C)

Expected return on the portfolio = (0.4 * 7%) + (0.3 * 15%) + (0.3 * 20%)

Expected return on the portfolio = 2.8% + 4.5% + 6%

Expected return on the portfolio = 13.3%

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Using the Gordon growth formula, if D0 has been
$0.91, the required return ir is 10% or 0.10, and the
expected growth rate g is 5% or 0.05, then the current stock price
is
a.$10
b.$29
c.$20
d. $19

Answers

Using the Gordon growth formula, the current stock price is $20.

Using the Gordon growth formula, if D0 has been $0.91, the required return ir is 10% or 0.10, and the expected growth rate g is 5% or 0.05, then the current stock price is $20.

Gordon growth model formula is used to determine the intrinsic value of a stock or the present value of all future cash flows associated with the stock. In finance, it is also called the dividend discount model (DDM).It calculates the value of a stock as the present value of all future dividends. The formula is as follows:

P = D1 / (r-g)

Here, P = Current stock price

D1 = Expected dividend per share one year from now

r = Required rate of return on the stock

g = Expected growth rate of dividends

Using the Gordon growth formula, the current stock price is $20.Therefore, the answer is c. $20.

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stock. The issue will pay an annual dividend of $20 in perpetuity, beginning 20 years from now. If the market requires a return of 5.4 percent on this investment, how much does a share of preferred stock cost today? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) Stock price

Answers

The cost of a share of preferred stock today is $370.37.

To determine the cost of a share of preferred stock today, we can use the formula for the present value of perpetuity. The annual dividend of $20 is received starting 20 years from now and continues indefinitely. The market requires a return of 5.4 percent on this investment.

Using the formula, the present value of the perpetuity is $20 / 0.054 = $370.37. This represents the cost of a share of preferred stock today.

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Pick a leader of your choosing that you felt you can look up to due to their leadership skills. Explain why you feel this?

Include some background on their life, what did they contribute to society, and how do you relate to them.

Answers

There are numerous great leaders who have contributed to the betterment of society in one way or the other. However, the leader that I look up to the most is Mahatma Gandhi. He is widely recognized as one of the greatest leaders in the world and is known for his leadership skills and contributions to society.Mahatma Gandhi was born in Porbandar, a coastal town in present-day Gujarat, India, on October 2, 1869. He was a man of peace and nonviolence who played a key role in India's fight for independence from British colonial rule. He led various campaigns of nonviolent resistance and civil disobedience that ultimately resulted in India's freedom from British rule.

Mahatma Gandhi's contribution to society is immeasurable. He is known for promoting nonviolence, truth, and self-sufficiency. His teachings and principles have influenced many civil rights and freedom movements around the world. His philosophy of nonviolence was so powerful that it inspired several world leaders such as Martin Luther King Jr., Nelson Mandela, and Aung San Suu Kyi, among others.I can relate to Mahatma Gandhi on a personal level because of his advocacy for nonviolence and his commitment to social justice. I believe that nonviolence is the key to solving conflicts and that everyone deserves to be treated with respect and dignity. Like Gandhi, I believe that true change can only come from within, and it is up to each one of us to be the change we want to see in the world.In conclusion, Mahatma Gandhi's leadership skills and contributions to society are unparalleled. His advocacy for nonviolence, truth, and social justice continues to inspire people around the world. I look up to him as a leader and a role model, and I will continue to follow his teachings and principles in my personal and professional life.

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Future prices of a stock are modeled with a 1-period binomial tree based on forward prices, the period being 1 year.
You are given:
(i) The stock price is 30.
(ii) The continuously compounded risk-free interest rate is 5%.
(iii) The stock pays no dividends.
(iv) σ 0.25.
(v) For a European call option on the stock expiring in one year, the replicating portfolio has 0.9 shares of stock.
Determine the price of the call option.

Answers

The price of the call option is approximately $0.82. To determine the price of the call option, we can use the concept of a replicating portfolio. A replicating portfolio is a combination of the stock and risk-free assets that replicates the same payoff as the call option. In this case, the replicating portfolio consists of 0.9 shares of the stock.

First, we need to calculate the expected return of the stock. Since the risk-free interest rate is 5%, the expected return is the risk-free interest rate plus the product of the stock's volatility (σ) and the square root of the time period (1 year). Therefore, the expected return is 0.05 + 0.25 * [tex]\sqrt{1}[/tex] = 0.05 + 0.25 = 0.30.
Next, we calculate the stock price at the end of the period using the up and down factors. The up factor is e^(σ * [tex]\sqrt{1}[/tex]) = e^(0.25 * [tex]\sqrt{1}[/tex]) = e^(0.25) = 1.28. The down factor is 1/up factor = 1/1.28 = 0.78. Therefore, the stock price at the end of the period is 30 * 1.28 = 38.4 (up) and 30 * 0.78 = 23.4 (down).

Now, we calculate the payoff of the call option at the end of the period. The payoff is the difference between the stock price at the end of the period and the strike price (which is not given in the question). Let's assume the strike price is 35. The payoff is max(0, 38.4 - 35) = 3.4 (up) and max(0, 23.4 - 35) = 0 (down).
Finally, we discount the expected payoff back to the present value using the risk-free interest rate. The call option price is the weighted average of the discounted payoffs. The probability of the stock going up is (0.30 - 0.05) / (0.30 - 0.05) = 0.25, and the probability of the stock going down is 1 - 0.25 = 0.75. Therefore, the call option price is (0.25 * 3.4 + 0.75 * 0) * e^(-0.05 * 1) = 0.85 * e^(-0.05) = 0.8167. So the price of the call option is approximately $0.82.

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A monopolist has a total cost function \( T C=2000+10 Q( \) Note: \( M C=10) \). number on each section. 1. What is its marginal revenue curve equation?
"

Answers

A monopolist has the marginal revenue curve equation as; MR=Price(1+1/Ed) Where; MR- Marginal revenue Price - The cost of the product Ed- Price elasticity of demand. Price elasticity of demand (Ed) is defined as the percentage change in quantity demanded divided by the percentage change in price.

It is used to measure the effect of changes in prices on the quantity demanded of a good or service by consumers. The total cost function (TC) of a monopolist is given by: TC = 2000 + 10QWhere;TC- Total Cost Q- Quantity of the product produced. The marginal cost (MC) function of the monopolist is given by: MC = 10MR = TR/Q Revenue is the product of price and quantity. Therefore; TR = PQ But Q = Q(P)Where P is the price of the product.

Therefore TR = P*Q(P)Substitute Q (P) into TR to get; TR = P*Q(P) * P= P2 Now differentiate TR with respect to Q(P);MR= ∂TR/∂Q(P) = 2P(∂Q(P)/∂P) + Q(P)*1= 2P(1/Ed) + Q(P)/P Therefore; MR= P(2/Ed + 1/P) Applying the quotient rule and multiplying the numerator and denominator by Ed, we get; MR= P(1+1/Ed)Hence, the marginal revenue curve equation is MR = P(1+1/Ed).

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Explain the difference between the indirect quote and direct
quote for exchange rates.

Answers

When discussing the difference between direct and indirect quotes for exchange rates, it is essential to consider that exchange rates are used to express the value of one country’s currency in terms of another. A direct quote is one that is expressed as the domestic currency per unit of foreign currency.

This means that the price of the foreign currency is expressed in terms of the domestic currency. For example, if the USD/CAD exchange rate is 1.25, this means that it takes 1.25 Canadian dollars to buy one US dollar. In this case, the Canadian dollar is the foreign currency, and the US dollar is the domestic currency. A direct quote is also known as a price quotation. On the other hand, an indirect quote is one that is expressed as the foreign currency per unit of domestic currency.

This means that the price of the domestic currency is expressed in terms of the foreign currency. For example, if the CAD/USD exchange rate is 0.80, this means that it takes 0.80 US dollars to buy one Canadian dollar. In this case, the US dollar is the foreign currency, and the Canadian dollar is the domestic currency. An indirect quote is also known as a quantity quotation. In summary, a direct quote expresses the domestic currency per unit of foreign currency, while an indirect quote expresses the foreign currency per unit of domestic currency.

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Find a newspaper article that describes a government action that would affect the macroeconomy through the Aggregate Demand/Aggregate Supply model. Note that any action that affects the model is fine to discuss, regardless of the intent of the government action. Which curve(s) would be affected by this policy change? What would the short-run effect on the economy be?

Answers

However, I can explain how a government action can affect the macroeconomy through the Aggregate Demand/Aggregate Supply (AD/AS) model and the potential short-run effects on the economy.

In the AD/AS model, changes in government actions can impact the economy by shifting the aggregate demand (AD) or aggregate supply (AS) curves. Government actions, such as changes in fiscal policy (taxation or government spending) or monetary policy (interest rates or money supply), can influence these curves.

For example, if the government increases spending on public infrastructure projects, it would shift the AD curve to the right. This is because increased government spending stimulates consumer and business spending, leading to higher aggregate demand.

The short-run effect of this policy change would be an increase in output and employment. Firms would hire more workers to meet the higher demand for goods and services. However, this policy change can also lead to inflationary pressures if the economy is operating near full employment, as increased demand may outpace supply.

A government action that affects the macroeconomy through the AD/AS model can impact either the AD or AS curve. The short-run effect of the policy change depends on the direction and magnitude of the shift, leading to potential changes in output, employment, and inflation.

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Decision Point: Choosing a New Ingredient A few months after the recall, the brand manager calls you into her office. "After successfully recalling the mislabeled product and addressing customer complaints with an apology letter and free sample, we are seeing an increase in sales. It was a good decision to address the problem head on instead of avoiding it, and this has gained us the goodwill of our customers." She continues, "Now that the recall is behind us, I would like you to evaluate the following opportunity. We have developed organic versions of our healthy cereals. It is a more expensive product due to the increased cost of the ingredients, but we believe our consumers are willing to pay for the benefit of an all-organic product. We would like to add another ingredient to this new organic line of products to help grow our market share in the highly competitive healthy foods marketplace. We have evaluated several possibilities, and I would like you to select the best choice for Healthy O's."
Which of the following options is the best choice for Healthy O's?
a. Replace the organic sugar with organic corn syrup because this is a cheaper ingredient and will help lower the costs and the price of the product.
b. Add more organic bran to increase the fiber content. Most competitors are already doing this, but this ingredient will only marginally increase the health benefits of the cereal while having a minimal impact on the cost.
c. Add organic quinoa, which will have a major impact on the product's health benefits, It would be a more expensive ingredient than organic bran or nonorganic quinoa.
d. Add nonorganic quinoa because of the major impact it will have on the health benefits of the product. It would be slightly more expensive than organic bran.

Answers

Since we want to add another ingredient to this new organic line of products to help grow our market share in the highly competitive healthy foods marketplace, the best choice for Healthy O's would be to add organic quinoa. Option A is the corecct answer.

Making the right decision

Using organic quinoa as the ingredient would have a major impact on the product's health benefits of the customers, which meet the standard of healthy foods.

Furthermore, since the organic ingredient would be consistent with the brand's new organic line of products, which would help differentiate it from competitors that may be producing similar products in the market.

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Compute the present value of the following single amounts to be received at the end of the specifled period at the given interest rate. Note: Use tables, Excel, or a financial calculator. Round your final answer fo the nearest whole dollar. (FV of $1, PV of $1. EVA of $1. PVA of $1. EVAD of $1 and PVAD of $1)

Answers

The present value of the following single amounts to be received at the end of the specifled period at the given interest rate is $25,417.50

To calculate the present value of the single amounts to be received at the end of the specified period at the given interest rate, we can use the appropriate present value (PV) factor from the tables.

Given:

Invested Amount (FV) = $40,000

Interest Rate = 6%

Number of Periods = 20

a) Present Value (PV) of $1 factor at 6% for 20 periods:

From the present value of $1 table, the factor for 6% and 20 periods is 0.31293.

To calculate the present value of the invested amount ($40,000), we use the formula:

PV = FV * PV factor

PV = $40,000 * 0.31293

PV ≈ $12,517.20

b) Present Value (PV) of $1 factor at 11% for 25 periods:

From the present value of $1 table, the factor for 11% and 25 periods is 0.15783.

To calculate the present value of $20,000 at 11% for 25 periods, we use the formula:

PV = FV * PV factor

PV = $20,000 * 0.15783

PV ≈ $3,156.60

c) Present Value (PV) of $1 factor at 7% for 10 periods:

From the present value of $1 table, the factor for 7% and 10 periods is 0.50835.

To calculate the present value of $50,000 at 7% for 10 periods, we use the formula:

PV = FV * PV factor

PV = $50,000 * 0.50835

PV ≈ $25,417.50

Note: The calculations are rounded to the nearest whole dollar as per the instruction.

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Suppose that you are a bank with the following: - \( \$ 100 \) of capital, and - \( \$ 2,000 \) of deposits. In this economy, the reserve requirements are equal to \( 8 \% \), and cash drain is equal
"

Answers

Banks are required to have a reserve requirement that is a specified percentage of deposits. Banks are required to have a reserve requirement that is a specified percentage of deposits. The reserve requirement is the amount of cash that the bank must hold onto in its vault or at the local Federal Reserve Bank.

The rest of the money can be loaned out or invested. Suppose that you are a bank with the following:- \( \$ 100 \) of capital, and- \( \$ 2,000 \) of deposits. In this economy, the reserve requirements are equal to \( 8 \% \), and cash drain is equal to \( 5 \% \). The question asks, what is the excess reserve? First, we need to calculate the reserve requirement. Reserve Requirement = \(8 \% \times \$2,000 = \$160\).

This means that the bank must hold onto \( \$160 \) in cash. Second, we need to calculate how much cash is being drained from the bank. Cash Drain = \(5 \% \times \$2,000 = \$100\)This means that the bank is losing \( \$100 \) in cash.Third, we can calculate the excess reserve. Excess Reserve = Deposits - Reserve Requirement - Cash Drain\(= \$2,000 - \$160 - \$100 = \$1,740\)Therefore, the excess reserve is \( \$1,740 \).

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Jonathan purchases a retirement annuity that will pay him $1,000
at the end of every six months for the first eleven years and $900
at the end of every month for the next five years. The annuity
earns

Answers

Jonathan purchases a retirement annuity that will pay him $1,000 at the end of every six months for the first eleven years and $900 at the end of every month for the next five years. Jonathan will receive a total of $76,000 from the annuity over the specified period.

The annuity earns interest over time.
To calculate the total amount that Jonathan will receive from the annuity, we need to calculate the payments for the first eleven years and the payments for the next five years separately, and then sum them up.
First, let's calculate the payments for the first eleven years. Since Jonathan receives $1,000 every six months, and there are two six-month periods in a year, he will receive $1,000 x 2 = $2,000 per year. Over eleven years, he will receive $2,000 x 11 = $22,000.
Next, let's calculate the payments for the next five years. Jonathan receives $900 at the end of every month, so he will receive $900 x 12 = $10,800 per year. Over five years, he will receive $10,800 x 5 = $54,000.
Now, let's sum up the payments from the first eleven years and the next five years: $22,000 + $54,000 = $76,000.

Therefore, Jonathan will receive a total of $76,000 from the annuity over the specified period.

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A person has wealth of $500,000. In case of a flood her wealth will be reduced to $50,000. The probability of flooding is 1/10. The person can buy flood insurance at a cost of $0.10 for each $1 worth of coverage. Suppose that the satisfaction she derives from c dollars of wealth (or consumption) is given by u(c)=c​. Let cF​ denote the contingent commodity dollars if there is a flood (horizontal axis) and cNF​ denote the contingent commodity dollars if there is no flood (vertical axis). (a) Determine the contingent consumption plan if she does not buy insurance. (b) Determine the contingent consumption plan if she buys insurance $K. (c) Use your answer in (b) to eliminate K and construct the budget constraint (BC) that gives the feasible contingent consumption plans for different amounts of insurance K. Determine the slope of budget line (both graphically and by forming the price ratio). (d) Assume that the person has von Neumann-Morgenstern utility function on the contingent consumption plans. Write down the expected utility U(cF​,cNF​) and derive the MRS. (e) Solve for optimal (cF​,cNF​). To this end, first use the tangency condition (TC) to find the relation between the two contingent commodities (cF​,cNF​). Next, use (BC) to solve for their values. What is the optimal amount of insurance K the person will buy? (Note: the general theory developed in lectures allows to know the outcome of the exercise. But it is a good idea to work out the problem from first principles.)

Answers

Without insurance, the contingent consumption plan is (cF​, cNF​) = ($50,000, $500,000). If the person buys insurance K, the contingent consumption plan becomes (cF​, cNF​) = ($50,000 + 10K, $500,000 - K). The budget constraint is cF​ + 10cNF​ = $500,000 + 10K, and its slope graphically and by price ratio is -10. With a von Neumann-Morgenstern utility function, the expected utility U(cF​, cNF​) = 0.1cF​ + 0.9cNF​, and the MRS is 0.1. The optimal contingent commodities are (cF​, cNF​) = ($50,000 + K, $500,000 - 0.1K). The tangency condition and budget constraint lead to K = $200,000 in insurance.

(a) Without insurance, if there is a flood, the contingent consumption is cF​ = $50,000, and if there is no flood, cNF​ = $500,000.

(b) If the person buys insurance K, in case of a flood, the contingent consumption is cF​ = $50,000 + 10K (as each dollar of coverage costs $0.10), and if there is no flood, cNF​ = $500,000 - K.

(c) The budget constraint is cF​ + 10cNF​ = $500,000 + 10K. Graphically, the slope is -10 (rise over run), and the price ratio is the coefficient of K, which is 10.

(d) With von Neumann-Morgenstern utility function, the expected utility is U(cF​, cNF​) = 0.1cF​ + 0.9cNF​. The marginal rate of substitution (MRS) is the coefficient of K in cF​/cNF​, which is 0.1.

(e) To find the optimal contingent commodities, we use the tangency condition, setting MRS = price ratio. So, 0.1 = 10, which gives the relation between cF​ and cNF​. Using the budget constraint, we solve for (cF​, cNF​) = ($50,000 + K, $500,000 - 0.1K). To find the optimal insurance, we set cF​ + 10cNF​ = $500,000 + 10K and solve for K, which is $200,000.

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Nexis Corp. issues 2,410 shares of $11 par value common stock at $15 per share. When the transaction is recorded, what credit entry or entries are made?
a. Credit Cash for $15,000
b. Credit Common Stock for $15,000
c. Credit Additional Paid-in Capital for $3,610
d. Both options a and b

Answers

This question requires the identification of credit entry or entries made by Nexis Corp. when it issues 2,410 shares of $11 par value common stock at $15 per share.

When Nexis Corp. issues 2,410 shares of $11 par value common stock at $15 per share, the total issue price of the stock will be $36,150 ($15 x 2,410).

The $11 par value per share implies that there would be a common stock account for $26,510 ($11 x 2,410) when the transaction is recorded.

The difference between the amount received from issuing the stock ($36,150) and the common stock account's par value ($26,510) is recognized as Additional Paid-in Capital. As a result, the journal entry for issuing stock with no par or stated value would look like this:

Debit Cash for $36,150Credit Common Stock for $26,510Credit Additional Paid-in Capital for $9,640

Thus, the credit entries for the above question is c) Credit Additional Paid-in Capital for $3,610.

If the options (a) Credit Cash for $15,000 and (b) Credit Common Stock for $15,000 are chosen together, the statement will be inaccurate since the amount paid will be greater than the par value of the stock.

Therefore, the answer is option (c).

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5-3 While you are reporting the analysis results to the government, you got a question about discriminatory tariff against imports from a particular country. What should you answer about the effects of such discriminatory compared with the effects of tariff on imports regardless of origin? You do not need to use diagram. Brief explanation in words. (2p)

Answers

When reporting analysis results to the government, one might get a question regarding discriminatory tariffs on imports from a particular country. This is a complex question that requires an in-depth analysis of the pros and cons of both policies to provide a comprehensive answer.

As a result, here is an overview of the benefits and drawbacks of each policy as well as their general impact on trade flows and economic welfare. Tariffs on imports from a particular country are referred to as discriminatory tariffs. The aim of these tariffs is to decrease imports from the targeted country by increasing the price of its products, making them less competitive than domestic products or those imported from other countries. The impacts of discriminatory tariffs on the economy depend on several factors, such as the affected country's market share and the degree of substitution among the targeted country's products.

It is also essential to note that imposing discriminatory tariffs is likely to result in retaliation by the targeted country, which may harm domestic exporters. In comparison, tariffs on imports regardless of origin are known as non-discriminatory tariffs. The goal of these tariffs is to protect domestic producers from foreign competition by increasing the price of foreign products. As a result, non-discriminatory tariffs reduce imports of a particular product and increase the demand for domestic goods, which stimulates local production. However, non-discriminatory tariffs also increase the cost of living for consumers and reduce consumer surplus, harming economic welfare.

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1) What is capacity? 2) Name two samples of long and short-term capacity decisions 3) Difference between economies and diseconomies of scale 4) What is the focused factory? 5) Name the ways the Capacity can be measured 6) What is work order? 7) Complete the formula for: Capacity required for one work order (Ci)= ? 8) What happens when the small capacity increases that match average demand? Explain the graphic. 9) How to adjust the Short-Term Capacity Levels 10) What is RMS And what does it consist of? 11) Name the 3 different learning curves

Answers

This response provides answers to various questions related to capacity management. It covers the definition of capacity, examples of long and short-term capacity decisions, the difference between economies and diseconomies of scale.

The concept of a focused factory, methods of measuring capacity, the definition of a work order, the formula for calculating capacity required for one work order, the impact of increasing small capacity, adjusting short-term capacity levels, the concept of RMS (Resource Management System), and the three different learning curves.

1) Capacity refers to the maximum amount of output that a system or resource can produce over a given period.

2) Examples of long-term capacity decisions include building new facilities or acquiring new equipment, while short-term capacity decisions include adjusting staffing levels or scheduling overtime.

3) Economies of scale refer to cost advantages that result from increasing production volume, while diseconomies of scale occur when production costs increase as a result of expanding operations beyond a certain point.

4) A focused factory is a production facility that specializes in a narrow range of products or services, allowing for greater efficiency and focus on meeting specific customer needs.

5) Capacity can be measured in terms of output per unit of time (e.g., units per hour), machine or labor hours available, or the number of workstations or production lines.

6) A work order is a document that provides detailed instructions for a specific job or task, including information on materials, resources, and timelines.

7) The formula for capacity required for one work order (Ci) would depend on the specific context or industry and may involve variables such as time, labor, or machine requirements.

8) When small capacity increases to match average demand, it can result in a more balanced production system with reduced bottlenecks and smoother operations. This is depicted in the graphic by a more evenly distributed workload across the system, leading to improved efficiency and shorter lead times.

9) Short-term capacity levels can be adjusted through various measures such as adjusting staffing levels, reallocating resources, implementing overtime or temporary workers, or outsourcing.

10) RMS stands for Resource Management System, which is a software or tool used to manage and allocate resources efficiently, ensuring optimal utilization and alignment with organizational goals.

11) The three different learning curves are the cumulative average curve, the incremental unit-time curve, and the logarithmic curve. These curves represent the relationship between cumulative production or experience and the time or effort required to produce each unit, reflecting improvements in efficiency and productivity over time.

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in ghana, unilever launched a new program to encourage the use of iodized salt. how did the company pursue this goal

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In Ghana, Unilever launched a new program to encourage the use of iodized salt. The company pursued this goal by promoting the use of iodized salt through a variety of means.

First, Unilever advertised the benefits of using iodized salt through various mediums. The company partnered with the Ministry of Health and the Ghana Health Service to create a public awareness campaign that included billboards, radio advertisements, and other promotional materials.
Second, Unilever worked with local retailers to ensure that iodized salt was readily available to consumers. The company partnered with salt producers to create a steady supply of iodized salt that was affordable and accessible. Unilever provided incentives to retailers to stock iodized salt, and the company encouraged consumers to purchase iodized salt by offering coupons and other promotional materials.
Third, Unilever worked with schools and other organizations to educate the public about the importance of using iodized salt. The company developed educational materials that were distributed to schools, community centers, and other organizations throughout Ghana. These materials helped to raise awareness about the dangers of iodine deficiency and the benefits of using iodized salt.
Unilever's program to encourage the use of iodized salt in Ghana was successful in raising awareness about the dangers of iodine deficiency and the benefits of using iodized salt. Through its public awareness campaigns, partnerships with local retailers, and educational materials, Unilever was able to help improve the health of Ghanaians by encouraging the use of iodized salt.

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real estate- with a LLC or LLP who would be the designated broker? could there be a designated broker in an LLC or an LLP?
i saw a question like this where it asked something like who would be the designated broker in a llc or llp
1. the person with the most shares
2. the person who owns the company
3. the partner in a LLP

Answers

In an LLC or LLP, the designated broker is typically the person who holds the required real estate broker license.

The designated broker is responsible for overseeing the real estate transactions conducted by the LLC or LLP.

It is important to note that the designated broker does not necessarily have to be the person with the most shares or the owner of the company.

Instead, the designated broker is the individual who meets the licensing requirements set forth by the state's real estate regulatory agency.

This means that any partner or member of the LLC or LLP who meets the licensing requirements can serve as the designated broker.

The designated broker in an LLC or LLP is the person who holds the necessary real estate broker license, regardless of their ownership or shareholding.

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Suppose the underlying stock prices at option maturity is $39 and stock price when buying the option is $34, what is the profit for buying a protective put option with strike price of $33 and a premium of $9? Show Excel Formula

Answers

The profit for buying a protective put option with a strike price of $33 and a premium of $9 when the underlying stock prices at option maturity is $39 and stock price when buying the option is $34 is -$9.

To calculate the profit for buying a protective put option with a strike price of $33 and a premium of $9 given that the underlying stock prices at option maturity is $39 and stock price when buying the option is $34, we can use an excel formula given below:

Profit = Max (0, Strike Price - Stock Price at Maturity) - Premium Paid

In this case, Strike Price is $33, Stock Price at Maturity is $39 and the premium paid is $9.

Therefore,Profit = Max (0, 33 - 39) - 9

= Max (0, -6) - 9

= 0 - 9

= -9

Therefore, the profit for buying a protective put option with a strike price of $33 and a premium of $9 when the underlying stock prices at option maturity is $39 and stock price when buying the option is $34 is -$9.

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Let's say you invested in WXYZ Corp. beginning in 2018, and that the firm's return was 3% in 2018 , 9% in 2019,−11% in 2020,21% in 2021 , Then what is the variance of the returns?
a. 13.30%
b. 6.54%
c. 1.77%
d. 3.12%

Answers

Option (a) 13.30% is the correct.

Given Data:

Return of WXYZ Corp in 2018=3%

Return of WXYZ Corp in 2019=9%

Return of WXYZ Corp in 2020=-11%

Return of WXYZ Corp in 2021=21%

To find: Variance of returns

Year Return (%)Return Square ( %^2)20183%920199%81-11%-121202121441

Mean Return:

Mean Return= [3+9+(-11)+21] / 4

Mean Return= 22 / 4 Mean Return= 5.5%

Using the formula for the variance of returns:

Variance = [ (3-5.5)^2 + (9-5.5)^2 + (-11-5.5)^2 + (21-5.5)^2 ] / 4Variance = (2.5^2 + 3.5^2 + (-16.5)^2 + 15.5^2) / 4

Variance = (6.25 + 12.25 + 272.25 + 240.25) / 4Variance = 531 / 4

Variance = 132.75%

Variance of returns= 132.75%

So, the variance of the returns is 132.75%.Therefore, option (a) 13.30% is the correct answer.

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A retailer buys a dishwasher for $500.00 less 25%, 10%. The store prices the merchandise at a regular selling price to cover expenses of 15% of the regular selling price and a net profit of 20% of the regular selling price. During a clearance sale, the appliance is sold at a markdown of 20%. a) What is the regular selling price? b) What rate of markup based on cost was realized at the regular selling price? c) What is the clearance sale price? d) What is the operating profit or loss during the sale?

Answers

a) The regular selling price is $576.92. b) rate of markup based on cost was realized at the regular selling price is 53.85%. c) the clearance sale price is $461.54. d) the operating profit or loss during the sale is -$86.54 (loss).

a) For finding the regular selling price, start with the retailer's purchase price. The retailer buys the dishwasher for $500 less 25% and then 10% off, which can be calculated as follows:

Purchase price = $500 - ($500 * 25%) = $500 - ($500 * 0.25) = $500 - $125 = $375

After finding the purchase price, need to determine the regular selling price, which covers expenses and generates a net profit. The expenses are 15% of the regular selling price, and the net profit is 20% of the regular selling price. Let's denote the regular selling price as R:

R - (R * 15%) - (R * 20%) = $375

Simplifying the equation, we get:

R - 0.15R - 0.20R = $375

0.65R = $375

R = $375 / 0.65 ≈ $576.92

b) For calculating the rate of markup based on cost at the regular selling price, we need to determine the difference between the regular selling price and the purchase price, divided by the purchase price:

Markup rate based on cost = ((R - Purchase price) / Purchase price) * 100

Markup rate based on cost = (($576.92 - $375) / $375) * 100 ≈ 53.85%

c) During the clearance sale, the appliance is sold at a markdown of 20%. The clearance sale price can be calculated by applying the markdown to the regular selling price:

Clearance sale price = R - (R * 20%)

Clearance sale price = $576.92 - ($576.92 * 0.20) ≈ $461.54

d) Finally, to determine the operating profit or loss during the sale, subtract the clearance sale price from the purchase price:

Operating profit or loss = Purchase price - Clearance sale price

Operating profit or loss = $375 - $461.54 ≈ -$86.54 (loss)

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Need help with my Complex hypothesis statement. Is it a good example of a complex Hypothesis?

Tracking/Measuring user screen time is dependent on a few factors including updates to the platform which can include new functions, changes in the algorithms and engagement, and changes in the layout.

Answers

The statement provided can be considered a complex hypothesis as it incorporates multiple factors that may affect the tracking or measuring of user screen time.

It acknowledges the dependence of this process on various elements such as updates to the platform, including new functions and changes in algorithms and engagement, as well as changes in the layout.

By recognizing these interconnected factors, the hypothesis suggests that alterations in the platform and its features can potentially impact the accuracy and reliability of tracking user screen time. This complexity allows for a more comprehensive exploration of the variables involved in understanding and analyzing user behavior in relation to screen time.

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William Brown plans to invest $28,100 a year at the end of each year for the next seven vears in an imvestment that wabl par huric a vaitil 1.2514 and final percent. How much money will William have at the end of seven years?

Answers

At the end of seven years, William Brown will have approximately $222,033.18 in his investment account if he invests $28,100 at the end of each year and earns a compound interest rate of 12.514%.

To calculate the future value of William's investment, we can use the formula for the future value of an ordinary annuity:

Future Value = Payment * [(1 + Interest Rate)^Number of Periods - 1] / Interest Rate

Given that William invests $28,100 at the end of each year for seven years, and the compound interest rate is 12.514%, we can plug in the values:

Future Value = $28,100 * [(1 + 12.514%)^7 - 1] / 12.514%

Evaluating this expression, we find that the future value of William's investment at the end of seven years is approximately $222,033.18.

Therefore, by consistently investing $28,100 each year and earning a compound interest rate of 12.514%, William will accumulate approximately $222,033.18 in his investment account at the end of seven years.

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Explain to what degree interest rate and credit risks are a concern to Peer-to-Peer (P2P) lending platform companies such as Funding Circle (UK) in comparison to commercial banks.

Answers

Peer-to-peer (P2P) lending has become a popular alternative to traditional banking services. Interest rate and credit risks are critical concerns for peer-to-peer (P2P) lending platform companies like Funding Circle (UK) compared to commercial banks.

Let's take a closer look at both of these concepts

:Interest rate risk: Interest rate risk is the risk that changes in interest rates will impact an organization's earnings. Because P2P lenders depend on the difference between the interest rates they charge borrowers and the interest rates they pay investors, changes in interest rates may have a significant impact on their income.

Credit risk: Credit risk is the likelihood of a borrower failing to repay a loan or defaulting on their loan obligations. Credit risk is a significant concern for P2P lenders, and as a result.

To mitigate credit risk, P2P lenders must conduct comprehensive credit assessments and adopt adequate risk management protocols. Peer-to-peer lenders (P2P) are more vulnerable to these risks because they are smaller and less established than commercial banks.

Nonetheless, by implementing risk assessment measures and sound risk management policies, P2P lending platform companies like Funding Circle can minimize these risks and remain profitable.

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In the demanding competitive marketplace in which the modern organisation must compete, there is a constant drive to reduce cost. Many organisations embrace mechanisation as a cost cutting exercise. Operation analysis is an integral part of the daily task of an industrial engineer. Discuss Mechanisation of manual operations as a tool to achieve the goal of cost reduction.

Answers

Mechanisation of manual operations is indeed a valuable tool for achieving the goal of cost reduction in organizations. By replacing or augmenting manual tasks with automated machinery and equipment, companies can streamline processes, increase efficiency, and reduce labor costs. Here are some key points to consider:

1. Increased Productivity: Mechanisation can significantly enhance productivity by automating repetitive or physically demanding tasks. Machines can perform these tasks at a faster rate and with higher precision, leading to increased output and reduced cycle times. This increased productivity allows organizations to produce more goods or deliver services in a shorter period, ultimately leading to cost savings.

2. Labor Cost Reduction: Manual labor is often a significant portion of operational expenses. By mechanizing manual operations, companies can reduce their reliance on human labor, leading to decreased labor costs over time. With machines handling tasks that were previously done manually, fewer workers may be required, or existing employees can be reassigned to more value-added activities.

3. Improved Quality and Consistency: Mechanisation can help improve the quality and consistency of products or services. Machines can execute tasks with high accuracy, minimizing human errors and variations in output. This consistency can lead to better product quality, customer satisfaction, and reduced costs associated with rework or waste.

4. Safety and Ergonomics: Manual operations often carry the risk of workplace injuries or health issues related to repetitive motions or heavy lifting. Mechanisation can mitigate these risks by eliminating or reducing the need for human intervention in hazardous or physically demanding tasks. This can improve workplace safety, reduce accidents, and lower costs associated with workers' compensation and medical expenses.

However, it's important to note that the implementation of mechanisation requires careful planning and consideration. Factors such as initial investment costs, maintenance and repair expenses, training requirements, and potential job displacement should be evaluated. Organizations must also assess the feasibility and compatibility of integrating mechanized systems into their existing operations.

In summary, mechanisation of manual operations can be a valuable tool for achieving cost reduction in organizations. It offers benefits such as increased productivity, reduced labor costs, improved quality and consistency, and enhanced safety. By leveraging technology and automation, companies can optimize their operations and gain a competitive edge in the marketplace.

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How do I see the post-SDGs world,given emerging trends and the dynamic global context, and that role do I see for Social Business in shaping the post-SDG world? (300 word )

#please write your own word, no plagiarism allowed

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In the post-SDGs world, emerging trends and the dynamic global context will shape the way we perceive sustainable development, and Social Business will play a crucial role in shaping this new world.

How can Social Business contribute to shaping the post-SDG world?

In the post-SDGs world, the global landscape is evolving rapidly, driven by emerging trends and the dynamic nature of our interconnected world.

As we move forward, it is essential to envision a future where sustainable development is at the forefront of our priorities. In this context, Social Business holds great potential to contribute to shaping the post-SDG world.

Social Business, as conceptualized by Nobel laureate Muhammad Yunus, refers to a business model that aims to address social and environmental challenges while generating sustainable financial returns.

It goes beyond traditional corporate social responsibility by integrating social impact into the core of its operations.

By leveraging market mechanisms and entrepreneurial approaches, Social Businesses have the power to drive positive change and advance the Sustainable Development Goals (SDGs).

One of the key roles of Social Business in shaping the post-SDG world is its ability to foster inclusive and equitable economic growth. It can empower marginalized communities, create livelihood opportunities, and promote social inclusion.

Social Businesses can also address pressing environmental issues by adopting sustainable practices and offering innovative solutions to mitigate climate change and preserve natural resources.

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Pika common stock is selling for $77.56 a share and has a
dividend yield of 4.5 percent. What is the dividend amount?
© $4.31
O $425
$3.49
© $3.78
$7.76

Answers

The dividend amount for Pika common stock is approximately $3.4. To calculate the dividend amount, we need to multiply the stock price by the dividend yield.

Dividend Amount = Stock Price * Dividend Yield

Given:

Stock Price = $77.56

Dividend Yield = 4.5% = 0.045

Using the formula:

Dividend Amount = $77.56 * 0.045

Dividend Amount ≈ $3.49

Therefore, the dividend amount for Pika common stock is approximately $3.49.

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Programming Project Specifications Using C# Define an abstract base class called BasicShape. The BasicShape class should have the following members: Private member variable: o area - a double used to hold the shapes area. Public member methods: getArea - this method should return the value in the member variable area. o calcArea - this method should be a pure virtual function. Next, define a class named Circle. It should be derived from the BasicShape class. It should have the following members: Private member variables: centerX - a long integer used to hold the x coordinate of the circles center. o centerY - a long integer used to hold the y coordinate of the circles center. radius - a double used to hold the circles radius. Public member methods: constructor - accepts values for centerX, centerY, and radius. Should call the overridden calcArea function described below. o getCenterX - returns the value in centerX. o getCenterY - returns the value in centerY. calcArea - calculates the area of the circle (area = 3.14159 * radius * radius) and stores the result in the inherited member area. Next, define a class named rectangle. It should be derived from the BasicShape class. It should have the following members: Private member variables: width - a long integer used to hold the width of the rectangle. length - a long integer used to hold the length of the rectangle. Public member methods: constructor accepts values for the width and length. Should call the overridden calcArea function described below. o getWidth - returns the value in width. o getLength - returns the value in length. calcArea - calculates the area of the rectangle (area = length * width) and stores the result in the inherited member area. 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