The statement "exercises labeled as interests can generate tax exempt losses that can be used against both these types of income." is False.
What is a tax?In order to pay for general federal programs, goods, and activities, local, state, and federal governments must collect mandated payments or charges from citizens and corporations.
Why do we pay tax?HMRC collects income tax on the government's behalf. It is deployed to aid in funding public services. the National Health System, education, and programs for the poor, as well as money for public works programs like road construction, rails, and homes. Taxes play an important role in helping governments pay a variety of projects, such infrastructure, wars, and public works.
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A car has a base price of $23,800.00. Options cost $356.00, $785.00, and $900.00 for stereo, wheels and paint. Destination charges are $640.00. The dealer pays 82% of the base price and 75% of the options. Determine the sticker price.
$25,000.00
$23,800.00
$26,481.00
$25,841.00
The sticker price of the car is $26,481.00 based on the component costs provided
What is the sticker price of the car?
The sticker price of the car comprises the retail price, the cost of options as well as the destination charges, which is also referred to as the cost for economy mileage, bearing in mind that sticker price is the price of car written on a sticker and affixed to a car.
The sticker price=base price+cost of stereo+cost of wheels+cost of paint+destination charges
base price= $23,800.00
cost of stereo=$356.00
cost of wheels=$785.00
cost of paint=$900.00
destination charges=$640
sticker price=$23,800.00+$356.0+$785.00+$900+$640.00
sticker price=$ 26,481.00
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If you are a Japanese producer who sells products in the US, you want a foreign exchange future without going through the futures market. So, you borrow money in dollars with an interest rate of 5% and immediately convert it to yen at a rate of 1 dollar to 100 yen. Then you put the money in a Japanese interest-bearing account with an interest rate of 10%. What is the forward exchange rate in this case?
Answer:
104.76 yen per dollar
Explanation:
the forward rate = spot rate x [(1 + foreign interest rate) / (1 + domestic interest rate)] = 100 yen x [(1 + 10%) / (1 + 5%)] = 100 yen x (1.1 / 1.05) = 104.76 yen per dollar
Since the interest rate in Japan is higher than the interest rate in the US, investors will start to purchase more yens in order to gain higher interest rates, which will eventually appreciate the yen against the dollar until both interest rates match.
janice is in the market for a new smartphone when she sees an ad online touting the new features of the latest samsung model. she had not thought about buying a samsung and doesn’t know how much it costs, but the ad made her want to research this type of smartphone further. what feature of advertising does her response exemplify?
Janice is in the market for a new smartphone when she sees an ad online touting the new features of the latest Samsung model. The characteristic of advertising that Janice's response to advertising exemplifies is persuasion.
It is comparable to the marketing strategies employed by businesses to arouse the urge to buy in potential customers through the elicitation of psychological reactions. When a customer is drawn to an advertising because of the message, look, value, or other aspects of the product or service, persuasion has taken place. The needs, values, and wants of the customer must be reflected in every advertising.
Since the smartphone brand advertising successfully persuaded Janice to want to learn more about the product, the value it created for existing customers as well as luring in new ones, it was a success in promoting the brand.
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what is the over the counter market?select one:a.a stock exchangesb.a decentralized market not listed in an exchangec.feds foreign exchange market
Answer:
b. a decentralized market not listed in an exchange.
Explanation:
The over-the-counter (OTC) market refers to a decentralized marketplace where financial instruments such as stocks, bonds, commodities, and derivatives are traded directly between two parties, without being listed on a formal exchange. In the OTC market, trades are conducted through dealer networks, electronic systems, or other communication methods, allowing for direct transactions between buyers and sellers.
Unlike stock exchanges where trading occurs on a centralized platform with standardized rules and regulations, the OTC market provides more flexibility and customization in the trading process. It allows for the trading of securities that may not meet the listing requirements of formal exchanges or are not actively traded on exchanges.
One prominent example of the OTC market is the trading of over-the-counter stocks (also known as OTC stocks), which are stocks of companies that are not listed on major exchanges such as the New York Stock Exchange (NYSE) or NASDAQ. Instead, these stocks are traded through dealer networks or electronic platforms.
It's important to note that while the OTC market offers certain advantages such as flexibility and accessibility, it also carries certain risks, including less transparency and regulation compared to exchange-traded markets. Investors should exercise caution and conduct thorough research when participating in OTC trading.
Current Attempt in Progress Determine the missing amounts. \begin{tabular}{l} Unit Contribution \\ Margin \\ \hline \end{tabular} (f) eTextbook and Media Attempts: 0 of 3 used 5vemist Answer
The table below provides the necessary information for determining the missing amounts: \begin{tabular}{|l|l|l|} \ hline \textbf{ } & \textbf{Unit} & \textbf{Contribution Margin} \\ \ textbf{ } & \ textbf {Contribution} & \textbf {Ratio} \\ \ hline \textbf{Total} & \$600,000 & 100\% \\ \hline \textbf{Textbook and media} & \$90,000 & 15\% \\ \hline \textbf{Attempt 1} & ? & 50\% \\ \hline \textbf{Attempt 2} & ? & 30\% \\ \hline \textbf{Attempt 3} & ? & 20\% \\ \hline \end{tabular}
We know that: $\text{Unit Contribution = Unit Selling Price - Unit Variable Cost}$To calculate the missing amount, we will use the contribution margin ratio as follows: $\text{Unit Contribution = Unit Selling Price}\times\text{Contribution Margin Ratio}$Now, let's calculate the missing amounts: 1. Attempt 1:Contribution Margin Ratio = 50\%Unit Selling Price $\times$ 50\% = Unit Contribution50\% of Unit Selling Price = Unit ContributionWe know that for all units, Unit Selling Price is the same, and so we can write: Total Unit Selling Price $\times$ 50\% = Total Unit ContributionSo, $600,000 \times 50\% = \$300,000$Therefore, the missing Unit Contribution for Attempt 1 is \$300,000. 2. Attempt 2:Contribution Margin Ratio = 30\%Unit Selling Price $\times$ 30\% = Unit Contribution30\% of Unit Selling Price = Unit ContributionWe know that for all units, Unit Selling Price is the same, and so we can write:
Total Unit Selling Price $\times$ 30\% = Total Unit Contribution So, $600,000 \times 30\% = \$180,000$Therefore, the missing Unit Contribution for Attempt 2 is \$180,000. 3. Attempt 3:Contribution Margin Ratio = 20\%Unit Selling Price $\times$ 20\% = Unit Contribution20\% of Unit Selling Price = Unit Contribution We know that for all units, Unit Selling Price is the same, and so we can write: Total Unit Selling Price $\times$ 20\% = Total Unit Contribution So, $600,000 \times 20\% = \$120,000$Therefore, the missing Unit Contribution for Attempt 3 is \$120,000.
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What impression does it give if you are text messaging or listening to music while waiting to be called into an interview?
Fiscal policy is likely to fail to correct stagflation in an economy because _____ a. it affects aggregate supply only, but only aggregate demand needs to be changed. b. it affects aggregate demand only, but aggregate supply also needs to changed. c. it affects both the aggregate demand and supply, but only aggregate demand needs to be changed. d. it affects both the aggregate demand and supply, but only aggregate supply needs to be changed. e. it affects either aggregate demand or aggregate supply, but both need to be changed simultaneously.
Answer:
b. it affects aggregate demand only, but aggregate supply also needs to be changed.
Explanation:
Fiscal policy in economics refers to the use of government expenditures (spending) and revenues (taxation) in order to influence macroeconomic conditions such as Aggregate Demand (AD), inflation, and employment within a country. Fiscal policy is in relation to the Keynesian macroeconomic theory by John Maynard Keynes.
A fiscal policy affects combined demand through changes in government policies, spending and taxation which eventually impacts employment and standard of living plus consumer spending and investment.
Inflation can be defined as the persistent general rise in the price of goods and services in an economy at a specific period of time.
Generally, inflation usually causes the value of money to fall and as a result, it imposes more cost on an economy.
Fiscal policy is likely to fail to correct stagflation in an economy because it affects aggregate demand only, but aggregate supply also needs to be changed.
journal
March 01 March 03 March 09 March 15 March 27 Debit balance of Binod account Rs.25,000. Sold goods to Binod Rs.20,000. Sold goods for cash Rs. 10,000. Cheque received f
Journal entries of the given transactions are as follows.
Debit balance of Binod account Rs.25,000.Binod A/C.......Dr 25000
To cash A/C 25000
Sold goods to Binod Rs.20,000.Binod A/C.......Dr 20000
To Sales A/C 20000
Sold goods for cash Rs. 10,000.cash A/C.......Dr 10000
To Sales A/C 10000
A journal entry is the act of recording any transaction, whether one that is economic or not. An accounting diary that displays the debit and credit balances of a corporation lists transactions. Multiple recordings, each of which is either a debit or a credit, may be included in the journal entry.
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true or false: banks, savings and loans, credit unions, and mortgage companies are common sources of mortgage loans.
True, banks, savings and loans, real estate, and mortgage companies are common sources of mortgage loans.
What are mortgage loans?Mortgage loans, or simply home loans, also known as mortgage loans in civil jurisdictions, are taken by the purchaser of real estate to finance the purchase of a property, or while the existing owner holds a lien. A loan used to raise funds for some purpose. About collateral property. Loans are "secured" to the borrower's property through a process known as mortgage origination. This is a legal mechanism put in place that allows the lender to take possession of the collateral and sell it to repay the loan if the borrower defaults or otherwise fails to comply with the terms of the loan. means that there is The word mortgage comes from a French term used in medieval England in England, meaning "death pledge" and refers to a pledge that ends when the obligation is fulfilled or the property is seized.A mortgage borrower can be an individual who has mortgaged their home, or a company who has mortgaged commercial property.To learn more about mortgage loans from the given link :
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A prepayment may be recorded in prepaid rent, a balance sheet account. The alternative method to record the prepayment is to debit the ____________ of ____________ account.
Answer:
Rent, expenses
Explanation:
A prepayment may be recorded in prepaid rent, a balance sheet account. The alternative method to record the prepayment is to debit the rent of expense account.
competitive price-taker markets and purely competitive markets are:
Answer:
While a competitive market determines the equilibrium point by staying in tune with the supply and demand curves, a perfectly competitive market does not have that luxury. A perfectly competitive market must accept the price point and must only decide how much to sell.
Explanation:
your goal is to increase purchase intent for your products.what type of video campaign should you use to achieve that goa
The fundamental objective of your campaign is to advance your company's goals.
What does purchasing in the corporate environment entail?When anything is acquired in exchange for payment of any kind, such as goods or services, it is said to have been bought. The typical payment methods are cash or credit (to be paid later). Another way to make a purchase is to assume a debt or participate in an exchange of goods where different non-cash goods are traded.
What does SUNY Purchase excel at?Visual and performing arts, information exchange, journalism, and related programs, liberal arts and sciences general studies, and humanities, as well as social sciences, psychology, English language and literature/letters, biological and biomedical sciences, history, and natural sciences, are some of the most well-liked majors at Purchase College—SUNY.
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______ Is a market in which a large number of suppliers compete with each other to satisfy the needs and wants of a large numbers of consumers at a competitive price.???
Answer : Monopolistic competition
Answer:
Monopolistic Competition
Explanation:
In a monopolistic competitive market, there are large numbers of sellers who do not sell identical products instead they sell differential products. They compete with each other at a competitive price. The products could be differentiated in many ways including quality, style, location and even brand name. Since they compete at a competitive price, if there is a substantial rise in the price of any of the products, the buyers could quickly shift from one product to another. The most crucial factor behind product differentiation is because of geographical factors. Under a monopolistic competitive market, the sellers do not have any influence over customer loyalty and limited control over the price.
Abba, Inc. is considering dropping a product line. During the prior year, the line had sales of $207,000 and a contribution margin of $124,000. Fixed expenses consist of: Salaries $60,000 Rent 50,000 Advertising 20,000 Administrative 35,000 Total fixed expenses $165,000 The product line manager's $60,000 salary is avoidable as is the $20,000 of advertising. Of the administrative expenses, $10,000 is avoidable. The rest are general allocated expenses that will not change if the product is dropped. The rent expense is allocated to product lines based on sales and represents a share of the total cost for the building. If this product line is dropped overall net operating income will:
Answer:
Overall net income will decrease by $34,000.
Explanation:
Calculation to determine net operating income
Using this formula formula
Net operating income=Contribution margin -Avoidable costs
Where,
Contribution margin =$124,000
Avoidable costs= Salaries $60,000
+Advertising $20,000+Administrative expenses $10,000
Let plug in the formula
Net operating income=$124,000-($60,000+$20,000+$10,000)
Net operating income=$124,000-$90,000
Net operating income=$34,000 Decrease
Therefore If this product line is dropped overall net operating income will:decrease by $34,000
Does this represent a case of fraud? Yes. The seller lied about the phone when she claimed it was hers. Yes. The seller lied about the phone when she said it "works perfectly." No, because it is up to you to be aware that sellers may lie. No, because the seller met you as promised and did not charge more than advertised.
Yes, this represents a case of fraud. The seller lied about the phone when she said it "works perfectly."
What is fraud?
Fraud is defined in law as the willful use of deception to obtain unfair or illegal gain or to deny a victim of a legitimate right. Fraud can be a violation of either civil or criminal law, or it may not result in a loss of money, property, or legal rights but yet constitute a component of another civil or criminal wrong. The goal of fraud may be financial gain or other benefits, such as getting a passport, travel document, or driver's license, or it may be mortgage fraud, when the offender submits false information to obtain a mortgage.
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Answer:
A. Yes. The seller lied about the phone when she claimed it was hers.
Explanation:
Got it right on Edge 2023
The following are affected by the business structure you choose when you start your
business.
O a.
day-to-day operations, personal liability, and business name.
O b.
day-to-day operations, business location, and taxes.
О с.
profitability, personal liability, and taxes
O d.
day-to-day operations, personal liability, and taxes.
1
When you start business, the business structure you choose can affect your day-to-day operations, personal liability, and taxes.
What is a liability?Liability refers to the legal responsibility for one's actions or debts. It is an obligation to pay or perform something to another party. Liability can arise from various sources, such as contractual agreements, statutory laws, or common law. For instance, when a person borrows money from a bank, they have a liability to repay the loan amount to the bank within a certain period, according to the terms and conditions of the loan agreement. Liability can also arise from a person's actions or omissions that result in harm or damage to others. In such cases, the person may be held liable for the damages caused and may have to compensate the affected parties for their losses.
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David makes 7.5% commission on total sales. How much will he make if he sells $892 worth of merchandise?
Multiplying the sales income by the sales commission rate will get the payable commission. A $10,000 product deal with a 10% commission would provide a $1,000 commission.
How do you add commission into the total sales calculation?This percentage-based calculation is quite simple. Simply multiply the sale price by the commission rate, then divide the result by 100.
What are commission and how does it work?According to the commission rate, a commission is a proportion of all sales. Total sales x commission rate equals commission. To calculate the commission on a sale, multiply the commission rate by the total number of sales.
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What section of your resume includes your GPA?
The data show the
number of railroad crossing accidents for the 50 states
of the United States for a specific year. Construct a
histogram, frequency polygon, and ogive for the data.
Comment on the skewness of the distribution. (The data
in this exercise will be used for Exercise 14 in this
section.)
Class limits Frequency
1–43 24
44–86 17
87–129 3
130–172 4
173–215 1
216–258 0
259–301 0
302–344 1
Answer:
I hope this helps
Explanation:
216-258 0
The management of a firm decided that the daily marginal cost function to be MC(q) = 0.3q 2−30q+2000 rand/unit and the daily fixed cost R500000. Find the total cost incurred by the firm to produce the first 100 units.
The total cost incurred by the firm to produce the first 100 units is 502000rand.
Given that the daily marginal cost function of a firm to produce a commodity is MC(q) = 0.3q^2 − 30q + 2000 rand/unit and daily fixed cost = R500000.
To find the total cost incurred by the firm to produce the first 100 units, we have to use the following formula; Total cost incurred = Total variable cost + Total fixed cost
where, Total variable cost = Marginal cost * Quantity produced total variable cost of producing the first 100 units = MC(100) × 100= (0.3 × 100²) − (30 × 100) + 2000= 3000 − 3000 + 2000= 2000r and
Hence, the total cost incurred by the firm to produce the first 100 units = Total variable cost + Total fixed cost= 2000 + 500000= 502000rand.
Therefore, the total cost incurred by the firm to produce the first 100 units is 502000rand.
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How much of a self-employed taxpayer's self-employment tax may be deducted for AGI? a. 25% b. 50% c. 75% d. 100%
Self-employed taxpayers can deduct 50% of their self-employment tax for AGI (Adjusted Gross Income). Self-employment tax refers to the Social Security and Medicare taxes that self-employed individuals are required to pay.
Unlike employees who have these taxes withheld from their paychecks, self-employed individuals are responsible for paying both the employer and employee portions of these taxes.
Self-employment tax is calculated based on a percentage of the taxpayer's net self-employment income, which is generally their gross income from self-employment minus any allowable deductions. The self-employment tax rate is currently 15.3%, with 12.4% going towards Social Security and 2.9% going towards Medicare.
To help offset the burden of self-employment tax, self-employed taxpayers can deduct 50% of their self-employment tax for AGI. This means that the deduction is taken before calculating the taxpayer's AGI, which can reduce their taxable income and potentially lower their overall tax liability.
It's important to note that the deduction for self-employment tax is separate from the deduction for standard or itemized deductions. Self-employed taxpayers may still be eligible to take these deductions in addition to the deduction for self-employment tax.
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Roberto Sanchez, CFA, and Andreas Lopez, CFA, worked as financial analysts for OneWorld Analytics for years. While at OneWorld, Lopez created a highly complex financial valuation model with Sanchez making small contributions to its development. Recently, Lopez left OneWorld to start his own company using a simplified model he developed prior to joining OneWorld. Over a six-month period, he improves this software, duplicating features he used at OneWorld. His upgraded program produces predictions similar to the results of the OneWorld program. At OneWorld, Sanchez continues to use the complex model he and Lopez developed and attains superior results. Whose behavior most likely conforms to the CFA Institute Standards of Professional Conduct?
a. Lopez but not Sanchez
b. Sanchez but not Lopez
c. Both Lopez and Sanchez
Many of the economic regulations put in place by the
U.S. government are intended to do which two things?
Answer: The answer to that question is to promote competition and prevent companies from taking unfair advantage of consumers.
Explanation:
List the following documents in the order in which they are used when recording direct materials costs injob order cost accounting, with the first document on top.
1. Receiving reports
2. Materials ledger cards
3. Materials requisitions
4. Job cost sheets
The next table lists direct material costs in the order they were used. cost sheets for jobs, Materials requisitions, Materials ledger cards, Obtaining knowledge
On a materials ledger card, the raw material units that pass through a warehouse are manually recorded. Typically, the card has the following transactional data: Raw materials are carried from the warehouse to the plant floor after being purchased from vendors and recorded when received.
A list of a job's actual costs is called a job cost sheet. The report, which the accounting department put together, is given to the management team so they may decide whether a job was fairly bid. The sheet is usually finished after a work is finished, though it can be put together as you go.
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7. What is the purpose of the risk score and how is it calculated?
an investor who wishes to hold a stock for five years will be most interested in geometric average rather than in the arithmetic average return.
T/F
The given statement-''an investor who wishes to hold a stock for five years will be most interested in geometric average rather than in the arithmetic average return'' is True.
An investor who plans to hold a stock for a longer period, such as five years, is generally more interested in the geometric average return rather than the arithmetic average return.
The arithmetic average return, also known as the mean return, calculates the average return of an investment over a given period by summing up the individual returns and dividing them by the number of periods. It provides a simple average of the returns and treats each period equally.
On the other hand, the geometric average return takes into account the compounding effect of returns over time. It considers the overall growth rate of an investment over a specific period. This is more relevant for long-term investors who want to understand the compounded growth of their investment over time.
Since the geometric average return captures the compounding effect and provides a more accurate measure of long-term performance, an investor interested in holding a stock for five years would be more concerned with the geometric average return.
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produces a lack of feeling that may have a local or general effect depending on the type of administration
depending on the type of anaesthetic used, causes a loss of feeling that may be local or general.
Risks and adverse effects a tiny bit of discomfort during injection. A tingling sensation develops when the drug wears off. the injection site may experience minor bleeding, pain, or bruising.
Anaesthetic refers to any drug that blocks localised or generalised sensation, including pain. Anesthesia achieves this effect by working on the brain or peripheral nervous system to block responses to sensory stimuli. The therefore produced state of unconsciousness is known as anaesthesia.
Local anaesthetic commonly causes temporary sensory abnormalities in the nerves rather than permanent nerve damage in therapeutic settings.
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The aggregate expenditure model focuses on the ________ relationship between real spending and ________. Group of answer choices short-run; real GDP short-run; inflation long-run; real GDP long-run; inflation
The aggregate expenditure model focuses on the short-run relationship between real spending and real GDP. This model is based on the assumption that in the short-run, prices are fixed and that changes in spending will result in changes in real GDP.
The model suggests that there are four components of aggregate spending, including consumption, investment, government spending, and net exports. These components are added together to determine the level of aggregate expenditure in the economy. The aggregate expenditure model is useful for predicting changes in real GDP in the short-run and for understanding the factors that contribute to economic growth or contraction. It can also be used to analyze the impact of fiscal and monetary policies on the economy. However, it is important to note that this model only applies to the short-run and that in the long-run, prices are flexible and changes in spending will result in changes in inflation rather than real GDP. Therefore, for long-run analysis, the aggregate expenditure model is not as useful as the aggregate supply and demand model.
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Which multimedia and interactive elements do you think would best support your viewpoint on the topic you chose for your blog? Write two to four sentences explaining what multimedia and interactivity you will use and why.
Answer:
I will use images and details from credible websites, which will boost my own credibility and support my claim. I will also use charts and graphs from trusted web resources, such as government and university sites, to make my supporting evidence clear
Explanation:
I took the test
Brainiest???
The Use of videos, audios, and images in the blog will not only make it attractive but also make it credible.
Best Way to Write BlogTo write a credible and attractive blog we need to use multimedia such as videos, images, link of credible websites. We can also use other elements which can autocorrect grammer mistakes, can easily provide best charts and graphs.
The use of these elements can give a better outlook to our blog, and also create a sense of trust and credible information.
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For this question, relate the word "risk" to "standard deviation of returns" Which of the following is true about the relation between the risk of a portfolio and the risk of its constituent stocks? O
The risk of a portfolio depends on the correlation and diversification among its constituent stocks, and it can be less than the risk of the least risky stock but generally not less than the riskiest stock.
The relation between the risk of a portfolio and the risk of its constituent stocks is not a straightforward summation. The risk of a portfolio depends on the correlation and diversification among the constituent stocks. If the stocks in a portfolio have a positive correlation, meaning they tend to move in the same direction, the risk of the portfolio will be higher than the risk of the least risky stock and may even be higher than the risk of the riskiest stock. This is because the risks of the stocks are not perfectly offset by each other.
However, if the stocks in a portfolio have a negative or low correlation, meaning they move in different directions or have limited dependence, the risk of the portfolio can be less than the risk of the least risky stock. Through diversification, the portfolio can benefit from reduced volatility and risk. Therefore, the statement "The risk of the portfolio can be less than the risk of the least risky constituent stock" is true, while the statement "The risk of a portfolio is always greater than the risk of the riskiest constituent stock" is false.
The risk of the portfolio is influenced by the correlation and diversification among the constituent stocks, and it is generally not simply the sum or average of the risks of the individual stocks. Hence, the risk of a portfolio is determined by the interplay of the individual stock risks, their correlations, and the diversification achieved through the portfolio construction.
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Here is the complete question:
For this question, relate the word "risk" to "standard deviation of returns" Which of the following is true about the relation between the risk of a portfolio and the risk of its constituent stocks?
O The risk of the portfolio can be less than the risk of the least risky constituent stock.
O The risk of a portfolio is always greater than the risk of the riskiest constituent stock.
O The risk of the portfolio is at least the average of the risk of the constituent stocks.
O The risk of the portfolio is simply the sum of the risk of the constituent stocks.
O The risk of the portfolio is exactly the average of the risk of the constituent stocks.