The Markowitz model is based on several assumptions regarding investor behavior. Which of the following is NOT such any assumption?
a. Investors consider each investment alternative as being represented by a probability distribution of expected returns over some holding period.
b. Investors maximize one-period expected utility.
c. Investors estimate the risk of the portfolio on the basis of the variability of expected returns.
d. Investors base decisions solely on expected return and risk.
e. None of these are correct (that is, all are assumptions of the Markowitz model).E

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Answer 1

Among the given statements about Markowitz model, none of them is correct  (that is, all are assumptions of the Markowitz model).

What is Markowitz model and what are different assumptions?

The Markowitz model, a portfolio optimization approach used in finance, aids in choosing the most effective portfolio by examining many potential portfolios containing the specified assets. The Markowitz Portfolio Theory (MPT) is based on a number of investor and market presumptions. Many of these presumptions are expressly mentioned, while others are implicit. The following fundamental presumptions serve as the foundation for Markowitz's contributions to MPT in portfolio selection:

Investors are rational- they have understandingInvestors will only take on more risk if the projected profits are larger.Investors are promptly provided with all necessary information regarding their choice of investment.At a risk-free rate of interest, investors have access to an unlimited quantity of capital for borrowing or lending.

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Related Questions

the mm theory with taxes implies that firms should issue maximum debt. in practice, this does not occur because: question 10 options: debt is more risky than equity. bankruptcy is a disadvantage to debt. the weighted average cost of capital is directly related to the debt-equity ratio. the weighted average cost of capital is inversely related to the debt-equity ratio. u.s. regulations require the debt-equity ratio of publicly-traded firms to be in the range of .3 to .7.

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The MM Theory with taxes implies that firms should issue maximum debt. In practice, this is does not true because Bankruptcy is a disadvantage to debt.

A principle is a rational form of abstract considering a phenomenon, or the consequences of such questioning. The procedure of contemplative and rational questioning is often associated with such procedures as observational observe or research. Theories may be medical, belong to a non-clinical subject, or no subject in any respect. relying at the context, a theory's assertions may, as an instance, consist of generalized explanations of how nature works. The phrase has its roots in ancient Greek, however in present day use it has taken on numerous associated meanings. In cutting-edge science, the term "idea" refers to clinical theories, a well-confirmed kind of explanation of nature, made in a manner regular with the scientific approach, and pleasant the standards required by modern-day technology.

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FILL IN THE BLANK. a ___ payable is a short-term liability that occurs when a company purchases goods and does not immediately pay with cash. (enter only one word.)

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A trade payable is a short-term liability that occurs when a company purchases goods and does not immediately pay with cash.

A trade payable is the money that a company's suppliers bill the company for items supplied to or services used by the company routinely. If paid on credit, these invoiced sums are placed in the accounts payable section of an organization's accounting software, where they are displayed in the accounts payable report until paid. Trade payables do not include any sums owed to suppliers that are paid in cash right away because they are no longer a liability.

Trade payables are documented in a distinct accounts payable account in the accounting system, with a credit to the payable account and a debit to the account that most accurately reflects the type of payment.

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When performing a compilation of pro forma financial information (pffi) for a nonissuer, the accountant ______

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The pro forma statement's predicted balance of financial account is most directly impacted by the dividend policy.

What sort of a policy is this?

The world is full with regulations; for examples, some families have the directive, "No TV till school is out." Policies are developed by organizations and agencies to guide how they conduct business. In retailers, there are return regulations. In the workplace, sick day regulations are typical.

What adage best describes a policy?

a state or other institution's policy, rule, procedure, administrative move, inducement, or voluntarily adopted custom. When used critically, policies can influence complex systems and enhance the health and safety of a people.

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during year 1 yvoon december 31 2020, pearl inc has a mahcine with a book value of 1353600. the original cost and related accumulated depreciate at this date are as follows. machine 1872000 less: accumulated depreciation 518400

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The total amount of depreciation expense paid for each capital asset since the time it was used by a business is called accumulated depreciation.

It basically refers to the total amount of an asset's depreciation throughout its lifespan.

How would we work out gathered devaluation?

The accumulated depreciation is the sum of all depreciation since the purchase, while the depreciation expense is the amount recognized each period. Contra assets include the accumulated depreciation account because it is a credit-balanced asset.

31st August 2021 Cash $498,800

Accumulated Depreciation - Machine ($417,600+ $46,400) $464,000

Loss on Disposal of Machinery ($1,508,000 – $464,000 – $498,800) $545,200

Machinery $1,508,000 (To record loss of machine)

Depreciation Expense ($69,600*8/12) $46,400

Accumulated Depreciation - Machine $46,400 (To record current dep.)

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Full Question = during year 1 yvoon December 31 2020, pearl inc has a mahcine with a book value of 1353600. the original cost and related accumulated depreciate at this date are as follows. machine 1872000 less: accumulated depreciation 518400? How would we work out gathered devaluation?

economics is the study of choice under conditions of scarcity. as individuals, and as a society, we have unlimited desires for goods and services. unfortunately, the resources needed to produce those goods and services are scarce. therefore, we must choose which desires to satisfy and how to satisfy them. economics provides the tools that explain those choices question 5 options: argument nonargument.

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It is an argument that economics is the study of choice under conditions of scarcity. as individuals, and as a society, we have unlimited desires for goods and services.

Economics is the study of how individuals divide up finite resources between individual and group uses for production, distribution, and consumption.

Economics has two subfields: macroeconomics and microeconomics.

Efficiency in exchange and production is the main focus of economics.

Both the Consumer Price Index (CPI) and the Gross Domestic Product (GDP) are frequently used economic statistics.

The performance of a nation's economy is described by economic indicators.

People can better grasp their surroundings by studying economics. It enables people to comprehend individuals, organizations, markets, and governments, and as a result, better respond to the challenges and possibilities that arise when things change.

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we are interested in the relationship between gdp and the unemployment rate, so we run the following regression: log(gdp)

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Regression analysis can be used to accurately identify the factors that influence a certain topic of interest.

Regression analysis: what does it show?

Regression analysis is a reliable method for determining the variables that affect a certain problem. Regression analysis gives you the ability to precisely pinpoint the factors that are most crucial, those that may be disregarded, and the connections between these elements.

Linear models are the most widely used and user-friendly types. If your dependent variable is continuous, linear regression is often the first type you should take into account. There are a few distinct options offered for linear regression.

What connection exists between the GDP and unemployment?

It basically argues that if GDP grows quickly, the unemployment rate decreases, growth is very low or negative, the unemployment rate increases, and growth is equal to potential, the unemployment rate does not change. This theory was put forth by economist Arthur Okun in 1962.

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independent contractors have control over the detials of their work. that is why normally they are not agents T/F

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This statement is true that independent contractors have control over the details of their work, that is why normally they are not agents.

The "company Agent" refers to any director, officer, partner, employee, agent, trustee, or fiduciary of the Company, any subsidiary, or any other enterprise. The term "Company Agent" refers to someone acting in a director or officer capacity for the Company, its subsidiary, or any other enterprise, as well as as an agent, trustee, or fiduciary.

'What is independent contractor?'

A self-employed individual or organization that has a contract to work for or offer services to another organization as a non-employee is known as an independent contractor. Independent contractors consequently have to cover their own Social Security and Medicare taxes.

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an excellent time to attempt a direct close is when a customer refers to a product as if he or she already owns it.

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The Presumed Close This is one of the most used closing strategies, but it demands complete assurance that the prospect is prepared to make a purchase.

Presumed is due to the fact that the Assumptive closure implies that the transaction is unavoidable. direct approach a demands sales technique when the salesperson only requests the transaction. service ending. a sales technique where the salesman describes solutions to challenges or barriers in order to close the transaction. The simplicity and clarity of the direct appeal near are its benefits. Simply and directly asking for the order constitutes this close purchase. It is the most simple closing technique, which appeals to many consumers.

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_____ is a supply chain risk management strategy used in limiting or offsetting the probability of loss from fluctuations in the prices of commodities or currencies.

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D) One example of a liability that budgetary control should ignore when assessing a project's risk is threats of state non-approval of the project.

What exactly is a project?

A project is nothing more than a collection of tasks that need to be completed in order to reach a specific objective. An alternate way to define a project is as a set of inputs and outputs required to achieve a particular goal. The size and complexity of a project can be managed by one worker or one hundred.

Why is it a project, and what qualifies?

As a result, the word "project" originally meant "before an action." The word's initial use in English made reference to a plan for rather than the.

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Because of the changing population trends in the United States, the chances of____ conflict may increase.

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Because of the changing population trends in the United States, the chances of intergenerational conflict may increase.

Intergenerational war refers back to the collective anxiety, strain, and antagonism between older and younger generations over what constitutes the truthful distribution of public resources across age corporations. Intergenerational cultural dissonance (ICD)—a clash among parents and youngsters over cultural values—takes place so usually amongst immigrant households that it's miles regarded as a normative revel in (Lee et al. 2005; Sluzki 1979; Ying et al. 1999).

Intergenerational war performs a key position inside the struggle attitude of getting older. This social theory shows that battle between older and younger generations takes place as they compete for resources and jobs.

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Select all that apply
Larry purchases land to be used for a new corporate headquarters. Which of the following items are capitalized in the cost of land?
Grading the land
Current year's property taxes
Legal fees to secure title
Costs to remove an old building
Title insurance

Answers

Larry purchases land to be used for a new commercial headquarters. The items for which Capitalization happens  include options a, c, d and e

This includes costs to remove an old building, legal fees to secure the title, title insurance, and grading the land.

Cost is the loss or penalty incurred especially in gaining something.

Cost capitalization refers to the practice of not recognizing the cost of a fixed asset, tangible or intangible, in the period it was incurred but rather expensing it over a period of time through depreciation or amortization, respectively.

With capitalized costs, the financial value will not leave the company with the purchase of an item, as it is retained in the form of a fixed or intangible asset.

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carla vista company produces and sells automobile batteries, the heavy-duty hd-240. the 2022 sales forecast is as follow

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The budget for Carla Vista a company producing and selling batteries is shown below:

The production budget is the budget prepared to identify the number of units to be produced to satisfy the upcoming product sales demand by keeping in mind the target amount of closing stock.

Particulars / Units 1st Qtr 2nd Qtr 3rd Qtr 4th Qtr Year

                                                                                                  -

Units to be sold 5,000 7,000 8,000 10,000 30,000

Add: Closing Stock 2,800 3,200 4,000 2,500 2,500

Less: Opening Stock 2,000 2,800 3,200 4,000 2,000

Units required to be produced 5,800 7,400 8,800 8,500 30,500

Closing stock of 4th quarter = 5000 x 125% x 40% = 2,500 units

Opening and Closing Stocks in the "Year Column" reflect the inventory at the beginning and at the end of the year.

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NewTech purchases computer equipment for $154,000 to use in operating activities for the next four years. It estimates the equipment’s salvage value at $25,000.Required:Prepare a table showing depreciation and book value for each of the four years assumin straight line depreciation.

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Answer: The cost of the equipment is $154,000, and it has a salvage value of $25,000, so the amount to be depreciated is $154,000 - $25,000 = $129,000.

The equipment will be used for four years, and we are using straight-line depreciation, so the annual depreciation amount will be $129,000 / 4 = $32,250.

We can use this information to prepare a table showing the depreciation and book value for each of the four years. The table would look something like this:

Year Depreciation Book Value

1 $32,250 $121,750

2 $32,250 $89,500

3 $32,250 $57,250

4 $32,250 $25,000

In the first year, the equipment would be depreciated by $32,250, and its book value would be $121,750. In the second year, it would be depreciated by another $32,250, and its book value would be $89,500. This pattern would continue for the remaining two years, with the equipment being depreciated by $32,250 each year, and its book value decreasing accordingly. By the end of the fourth year, the equipment would have a book value of $25,000, which is its salvage value.

Explanation:

given that a structure named money has been declared, declare the following variables of that type: revenue, expenses, and profit.

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Struct Money revenue, expenses, profit; For both business owners and stock investors, the two most crucial metrics to pay attention to are revenue and profit.

Profit is the money that remains after expenditures have been paid; revenue is the entire amount of money that the business has made in a certain period.

For certain businesses, markups and efficiency are so great that the gap between revenue and profit is minimal. A net profit of 2% or 3% for other, more capital-intensive enterprises is considered a successful year.

A "structure declaration" provides a type and a series of variable values (called "members" or "fields" of the structure) that can be of various kinds. An optional identifier, known as a "tag," provides the structure type's name and can be used in subsequent references to the structure type.

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which of the following is not an objective when considering pricing options for a product or service, for the long-term?

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It is not a long-term goal to participate in constant price competition with your rivals when deciding how to price a good or service.

What objectives does a competitive pricing strategy seek to achieve?

The technique aims to increase traffic to your company by pricing some of your products lower than competitors. Once customers make their low-cost purchase in a physical store or online store, the goal is to entice the potential customer to more lucrative products.

Which pricing method ought you to employ throughout the long run?

The cornerstone of this long-term pricing strategy is to set your price at the same level as your rivals and competitors. Following that, the business will compete on various fronts, such as convenience, customer service, or after-sale service.

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Respond to all parts of the question. In your response, use substantive examples where appropriate.Source: Leigh Angres and Jorge Salazar, "The Federal Budget in 2017," Congressional Budget Office, March 2018.
Use the chart to answer the following questions.
A. Identify the category with the largest amount of mandatory spending, according to the chart.
B. Describe the difference in spending between the mandatory and discretionary categories, according to the chart

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Existing laws require mandatory spending, commonly known as direct spending. Spending of this kind also includes payments to individuals, organisations, state and municipal governments, as well as financing for entitlement programmes like Medicare and Social Security.

What constitutes the bulk of obligatory spending?

The majority of spending on mandatory items goes toward entitlement programmes, which are social welfare initiatives with predetermined criteria. For entitlement programmes, Congress determines who is eligible and what benefits are provided.

Mandatory expenditure typically, but not always, is ongoing; it happens every year absent a change in the underlying law that supplies the cash. Conversely, Congress must take action each year to authorise the financing for discretionary spending through an appropriations bill.

There is no need for Congress to vote each year to approve this kind of spending. Spending discretionary money is the second important category. Spending can be classified as either required or discretionary depending on whether it is governed by current law or put to a vote during the annual appropriations process.

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tara corp. uses the equity method of accounting for its 40% investment in flax, inc.'s common stock. during 20x9, flax reports earnings of $750,000 and pays dividends of $250,000. assume that: all the undistributed earnings of flax will be distributed as dividends in future periods. the dividends received from flax are eligible for the 80% dividends-received deduction. there are no other temporary differences. tara's 20x9 income tax rate is 30%. enacted income tax rates after 20x9 are 25%. in its december 31, 20x

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Due to the firm adopting SFAS No. 109 during this period, the deferred tax obligation ending balance in this situation matches the change in the deferred tax liability for the period. A company's balance sheet will display a deferred tax liability for any taxes that are due but won't be paid until a later time.

The discrepancy in time between when the tax is required to be paid and when it was accrued, has caused the liability to be delayed. For instance, it could represent a taxable transaction, like an instalment sale, that occurred on a specific day but for which the taxes are not payable until a later time.

In the given question, the amount of investment income that is anticipated to be taxable in the future using enacted tax rates causes a change in the deferred tax liability. $10k =0.25(0.20)(0.40)($750,000 - $250,000) is the sum.

The entire future earnings discrepancy between tax and book accounting is ($750,000 - $250,000). The.20 denotes the percentage of income that will ultimately be taxed, and the.25 is the actual tax rate that will be implemented. The percentage ownership equals.40. Based on recent transactions, the final figure, $10,000, is the estimated future tax liability.

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The following investment return will result in what dollar weighted return? An initial outlay of $50,000, with three years of additional outflows of $10,000 each, and inflows as follows: $0 the first year, $20,000 in years 2 and 3, and sale of the property at the end of year 3 for $75,000.
CF0 = <50,000>CF1 = 0 - 10,000 = <10,000>CF2 = 20,000 - 10,000 = 10,000CF3 = 20,000 - 10,000 + 75,000 = 85,000IRR = 18.32%

Answers

The dollar-weighted return is 2.390154, or 239.0154%.

The dollar-weighted return is calculated by taking the present value of all cash flows, including the initial outlay, and dividing by the initial outlay. The present value of all cash flows is calculated as follows:

CF0 = <50,000>

CF1 = 0 - 10,000 = <10,000>

CF2 = 20,000 - 10,000 = 10,000

CF3 = 20,000 - 10,000 + 75,000 = 85,000

The present value of all cash flows is calculated as:

50,000 + (10,000 / (1 + IRR)^1) + (10,000 / (1 + IRR)^2) + (85,000 / (1 + IRR)^3) = 119,507.72

The dollar-weighted return is calculated by dividing the present value of all cash flows by the initial outlay of $50,000:

119,507.72/50,000 = 2.390154

Therefore, the dollar-weighted return is 2.390154, or 239.0154%.

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at the end of year 1, a defined benefit pension plan reported net assets available for benefits of $650,000. during year 2, the following items were recorded: investment income $ 300,000 contributions 1,350,000 administrative expenses 150,000 benefits paid directly to participants 900,000 what amount should the plan report as year-end net assets available for benefits in the year 2 statement of changes in net assets available for benefits? $600,000 $1,250,000 $1,650,000 $2,300,000

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$2,300,000 he plan report as year-end net assets available for benefits in the year 2 statement of changes in net assets available for benefits. The formula for calculating present value is PV = FV / (1 + i)n.

Where present value is equal to future value divided by one plus anticipated interest rate over n years. a statement of net assets that are open to benefits, as previously mentioned. employing the same criteria as before, a statement of changes in the net assets available for benefits. knowledge of the advantages of the accumulated plan in terms of net assets actuarial present value. These could include unpaid income taxes, excess contribution refunds, accruing miscellaneous charges, and sums outstanding for securities acquired.

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A company has two active lawsuits at the end of the year. In Lawsuit 1, the company feels it is probable that it will win $10,000. In Lawsuit 2, the company feels that it is probable that it will lose $6,000. At the end of the year, the company should report a:
Select one:
A.
Gain for $10,000.
B.
Loss for $6,000.
C.
Net gain for $4,000.
D.
Net Loss for $4,000.

Answers

A company has two active lawsuits at the end of the year. In Lawsuit 1, the company feels it is probable that it will win $10,000. The contingent responsibility for the $10,000 lawsuit will be credited in the journal entry to reflect the potential loss. The correct response is A.

Gain for $10,000

Contingent liabilities are obligations that might and arise based on the results of an unforeseen future of occurrence. Contingent liabilities are recorded if the possibility of the contingency exists and it is easier conceivable to estimate its extent. The liability may be included in a note to the financial statements if neither of these circumstances is true.

A contingent obligation must be recorded if a person contingency is foreseeable and its financial impact can be estimated with sufficient accuracy. According to GAAP, contingent liabilities can be classified as likely, conceivable, or remote. Predictable contingent liabilities can be properly assessed.

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when a company is developing new offerings, marketing may provide staff to serve as part of a(n) blank, joining others from different departments who are mutually accountable to this task.

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When company is developing new offerings, the marketing may provide staff to serve as part of a strategic business unit.

What is a strategic business unit?

A profit center that prioritizes product offerings and the market segments is known as a strategic business unit (SBU) in business strategic management. Even though they might be a part of a bigger company organization, SBUs often have a separate marketing strategy, competitor analysis, and marketing campaign. Business units within larger corporations, businesses operating independently, and branches can all be considered SBUs. Multiple SBUs that are each accountable for their own profitability can make up the corporations. A company with this kind of organizational structure is the General Electric (GE). SBUs have control over majority of the variables that determine their performance. When referring to SBUs or a group of SBUs that have these qualities, businesses today frequently use the words segmentation or division.

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The CARES Act of 2020 increased disposable income by $600 billion. If consumers spent $400 billion of those income transfers immediately. Instructions: In part a, round your response to two decimal places. In part b, round your response to the nearest whole number. a. what was the MPC? b. how much stimulus would those income transfers ultimately provide? $ billion Help Save & Exit

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(a) If the consumer spends $400 Billion of that income then the MPC is 0.67

(b) Ultimately, such income transfers will produce a stimulus of $1,818 billion.

The marginal propensity to consume (MPC) measures how much a customer will spend more on consumption as their income rises. MPC is the shorthand for the change in consumption brought on by a change in income.

MPC is the product of changes in income and consumption.

Multiplier = 1 / (1 - MPC)

The entire impact of additional income on the economy is calculated using a multiplier; to put it simply, an increase in income of $600 billion results in a greater increase in the money supply of the economy.

Due to the CARES act of 2020, there will be more money available—YD = $600.

Consumption rises by $400 as disposable income increases.

(a) MPC = Change in consumption / Change in income

MPC  = 400/600 = 0.67

(b) Multiplier = 1 / (1 - MPC)

Multiplier  = 1 / (1 - 0.67) = 3.03

Effect of additional income in economy = Additional income x Multiplier

Effect of additional income on economy = 600 * 3.03 = $1,818 billion

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Significant differences exist between fund financial statements and government-wide financial statements. Which of the following is not one of these differences?

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Fund financial statements do not include a statement of cash flows, but a statement of cash flows is required for the government-wide financial statements. The correct answer is c.

Financial statement in business term is defined as records of all financial activities in any organization, corporation, or government entity. Financial statement consists of 4 parts namely balance sheet, income statement, cash flow statement, and equity statement. Financial statement is used as a measurement of the overall financial condition of a company, organization, or government entity. A financial statement should be prepared and presented with a standardization using Generally Accepted Accounting Principles (GAAP) in order for it to be easily read and understood by all who will be reading and using the information.

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Your question is incomplete, but I suppose the full question was:

"Significant differences exist between fund financial statements and government-wide financial statements. Which of the following is not one of these differences?

a. Certain fund financial statements may be prepared using the current financial resources measurement focus, but government-wide financial statements are prepared using the economic resources measurement focus.

b. Fund financial statements focus on reporting major governmental and enterprise funds, but government-wide financial statements focus on reporting the government as a whole.

c. Fund financial statements do not include a statement of cash flows, but a statement of cash flows is required for the government-wide financial statements.

d. Fiduciary funds are included in fund financial statements, but not included in government-wide financial statements.

e. Discretely presented component units are reported in government-wide financial statements, but not in fund financial statements."

the proposition that if transaction costs are low enough, then the private market can achieve an efficient outcome regardless of which of the affected parties hold the property rights, is known as the: quizlwet

Answers

The pro-position that if trans-action costs are low enough, the private mark-et can achieve an efficient out-come regard-less of which of the affected parties hold the property rig-hts is known as the: - Coase theorem.

What Is the Coase Theorem?

The Coase Theorem is a legal and eco-nomic theory developed by econo-mist Ronald Coase regarding pro-perty rights, which states that whe-re there are complete comp-etitive markets with no trans-action costs and an efficient set of inputs and out-puts, an optimal deci-sion will be selected.

It basic-ally asserts that bargain-ing between indivi-duals or groups related to pro-perty rights will lead to an opti-mal and efficient out-come, no matter what that out-come is.

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deploy at least three machine learning models (or two models if you are in a groupe of 2) and evaluate their performance.

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Three machine learning models are supervised, unsupervised and reinforcement learning models.

Programs that have been trained to identify patterns in new data and predict outcomes are known as machine learning models. These models can be thought of as mathematical functions that take input data as requests, process that data to produce predictions, and then output the results.

Supervised learning, in which input data is known as training data and has a predefined label or outcome as an output, is the simplest machine learning paradigm to understand. It therefore relies on the concept of input-output pairs.

It is important to create a function that can be trained using a training set of data before being used on uncertain data in order to undertake prediction. Using labeled data sets, task-based supervised learning is examined.

Unsupervised Instead of using supervised learning, machine learning models use unsupervised learning, which enables the model to learn from the unlabeled training data.

Based on the unlabeled dataset, the model predicts the outcomes. Unsupervised learning enables the model to independently find hidden patterns in the dataset without outside assistance.

A succession of starting states that eventually lead to the goal state are learned by the algorithm in reinforcement learning. It is a learning model that gathers feedback signals after each state or action by interacting with the environment.

The agent's goal is to increase performance by maximizing the positive rewards. This criticism serves as compensation (positive for each good action and negative for each bad action).

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a perfectly competitive market is in long-run equilibrium. at present there are 100 identical firms each producing 5000 units

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When a sudden increase takes palce in the demand curve for the perfectly competitive market's product, in the short run the typical firm increases its output and makes an above normal profit (A).

Please refer to the graph attached below for ilustration and better undertanding.

Initally, a perfectly competitive market's equilibrium price lies in the intersection between the firm's MC and MR curves. This condition makes the typical firm has zero economic profit.

When a suddent increase takes place in the demand curve and rise the product's price to $24, the market demand curve shifts to the right. In the short run, the typical firm will try to produce the product at the output level where its supply curve meets with the new demand curve on point Q2.

The typical firms will also increase slightly in its average total costs since the ATC curve is in a U-shape. The shift in demand curve will rise the MR curve to a new place, MR'. The typical firm will earn above normal profit from this shifting, equals to the triangle area made between MC curve, MR curve and MR' curve.

However, in the long-run this profit will attract more competitors to enter the market. Since perfectly competitive market has low entry barrier, new competitor can easily enter the market and shift the supply curve to the right, S'. The entry of new competitors will bring the price back to its long-run equilibrium price but with greater amount of output level.

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Complete Question:

A perfectly competitive market is in long-run equilibrium. At present there are 100 identical firms each producing 5,000 units of output. The prevailing market price is $20. Assume that each firm faces increasing marginal cost. Now suppose there is a sudden increase in demand for the industry's product which causes the price of the good to rise to $24. Which of the following describes the effect of this incrase in demand on typical firm in the industry?

a.  In the short run the typical firm increases its output and makes an above normal profit

b. In the short run the typical firm's output remains the same but becacuse of the higher price its profit increases

c. In the short run the typical firm increases its output but its total cost also rises. Hence, the effect on the firm's profit cannot be determined without any information.

d. In the short run the typical firm increases its output but its total cost also rises, resulting in no change in profit.

FILL IN THE BLANK. Before committing to creating a team, the organization should do a __________ analysis to evaluate the work and see if a team is appropriatea. taskb. processc. skilld. job

Answers

The right answer is A. The organization should perform a task analysis to assess the work and determine whether a team is appropriate before committing to create one.

What exactly does task analysis entail?

Task is the methodical examination of how users carry out tasks in order to accomplish their objectives. This information guarantees that goods and services are created to effectively and adequately support those objectives.

What are some task analysis examples?

Daily living skills like tooth brushing, bathing, clothing, preparing meals, and carrying out various domestic duties are among the abilities taught utilizing a task analysis (TA).

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the following matrix shows relative costs for various job-machine combinations. assume there must be one-to-one matching between jobs and machines. which set of pairs constitutes the minimum-cost solution using the assignment method? machine a b c job 1 $ 6 0 0 2 0 3 4 3 0 1 2 multiple choice 1-a, 2-c, 3-b 1-a, 2-b, 3-c 1-b, 2-c, 3-a 1-b, 2-a, 3-c 1-c, 2-a, 3-b

Answers

A relative cost is the cost of a thing or service relative to another, or the comparison of two costs. The ratio between the prices of any two items or the ratio.

between the price of one good and the price of a market basket of goods can be used to represent a relative cost. (a weighted average of the prices of all other  available in the market). The study of how economic agents respond to changes in relative prices and how that behavior affects relative cost is known as microeconomics. The variation and shift in relative prices may also be a reflection of productivity growth .Displaystyle P is the relative price of the good or service rather than the nominal price in the demand equation displaystyle Q=f(P)displaystyle

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internal rate of return richins company produces automobile engine parts. the company is examining the possibility of investing in a new production system that will reduce the costs of the current system. the new system will require a cash investment of $11,551,968 and will produce net cash savings of $1,800,000 per year. the system has a projected life of 10 years. required: calculate the irr for the new production system. for discount factors use exhibit 12b-2. round your answer to the nearest whole percentage.

Answers

$15,597,680 is the IRR for new production system.

The internal rate of return (IRR) is the discount rate that makes the present value of the cash inflows equal to the present value of the cash outflows.

We can calculate the IRR using Exhibit 12b-2 by first calculating the present value of the cash inflows and then finding the discount rate that makes the present value equal to the present value of the cash outflows.

Present value of cash outflows (investment) = $11,551,968

Present value of cash inflows (savings) = $1,800,000 x [1/(1 + 0.08) + 1/(1 + 0.08)^2 + 1/(1 + 0.08)^3 + 1/(1 + 0.08)^4 + 1/(1 + 0.08)^5 + 1/(1 + 0.08)^6 + 1/(1 + 0.08)^7 + 1/(1 + 0.08)^8 + 1/(1 + 0.08)^9 + 1/(1 + 0.08)^10]

= $1,800,000 x 8.711

= $15,597,680

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One of your clients wants to set aside some money for her ne'er-do-well nephew, who just turned 30. She does not wish his numerous creditors to have access to the money until after she dies, but she wants him to have easy access to the money at that time. You recommend that she open a:
A) TOD registration on an account in her name.
B) custodial account.
C) TIC account.
D) joint tenants with rights of survivorship account.

Answers

Option A is correct that is TOD registered on the account in his name.

Transfer on death (TOD) allows a person to receive assets at the time of their beneficiary's death without going through probate. This option also allows the banker or security owner to specify the percentage of assets that each individual receives, which will help the manager allocate assets after he dies.

With the transfer of death registration, the beneficiary does not have access to or control of the person's estate as long as the person is alive. A variation of the design die is often used for brokerage accounts, stocks, bonds, and other investments.

The transfer of death is a simple and easy process. It involves filling out a list of the person or persons to whom the account holder wishes to have the account and assets transferred. When the owner dies, the assets are transferred according to the fact of death and identity.

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