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Eddi Din [679]
4 years ago
4

When it comes to investing, what is the typical relationship between risk and return? AThe greater the potential risk, the small

er the potential return. BThe greater the potential risk, the greater the potential return. CThere is no relationship between risk and return. DIt depends on the investment mix in your portfolio.
Business
2 answers:
Sonja [21]4 years ago
4 0
The answer to this is B
Oduvanchick [21]4 years ago
3 0

The correct answer is:

B .The greater the potential risk, the greater the potential return.

In order to run a business and convert an administrator, a person must have the ability to take and bear the risk. Risk presence is a key to any business.

When it approaches to investing, one general relationship between risk and reward is that taking more risk is correlated with a greater return. However, in many cases, there is no connection between the two. For example, even though stocks tend to have a higher return than relationships, taking that risk does not establish a genuine return.

The risk is the feasible amount of damage the business might have to face. While the return is the value of interest the business may receive.

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at the end of the year dahir incorporated's balance of allowance for uncollectible accounts is $2700 (credit) before adjustment.
notsponge [240]

Answer:

Given that,

Credit balance of allowance for uncollectible accounts = $2,700

Future uncollectible = $13,500

We need to deduct the credit balance from the amount of future uncollectible.

Bad debt expense:

= Future uncollectible - Credit balance of allowance for uncollectible accounts

= $13,500 - $2,700

= $10,800

Therefore, the journal entry is as follows:

Bad debt expense A/c Dr. $10,800

       To allowance for doubtful debts $10,800

(To record the allowance for uncollectible accounts)

7 0
3 years ago
Select two answers
vaieri [72.5K]
B.) his counselor certification

D.) His years of teaching experience
6 0
3 years ago
Read 2 more answers
When the economy is operating at an output rate less than full-employment capacity
jeka94

Answer:

The options for this question are the following:

a. current rate of output will tend to persist into the future.

b. strong demand for resources will cause resource prices to rise.

c. actual unemployment rate will be less than the natural rate of unemployment.

d. actual level of unemployment will exceed the natural rate of unemployment.

The correct answer is D. actual level of unemployment will exceed the natural rate of unemployment.

Explanation:

The natural unemployment rate is one that represents a level of unemployment that cannot be reduced and is part of what is considered normal in an economy. This level usually ranges between 2% and 5% and is part of the frictional unemployment of the population.

The natural unemployment rate exists, in part, because some workers quit their job, ceasing to receive income for a time, considering different reasons. These may be, for example, the aspiration for a better professional opportunity or the distance to the workplace.

That is, even when there is full employment, certain people may decide to lose their jobs. This is what is known as frictional unemployment, since individuals need time to find the right job.

It is normal for workers to move between companies because the labor market is flexible. For example, let's imagine that an engineer works for a company X, but another company Y offers better economic conditions. However, there may be a time interval, suppose a month, between the worker's departure from one firm and his entry to another. This, because perhaps a series of interviews should happen.

On the other hand, there are sectors with more mobility than others. For example, the financial or IT and communications sector has great mobility in developed economies.

4 0
4 years ago
In the Plan Risk Responses process, an accept strategy for a negative risk or threat indicates that the project team has decided
jenyasd209 [6]

Answer:

C. Not to change the project management plan to deal with a risk, or it is unable to identify any other suitable response strategy.

Explanation:

4 0
3 years ago
A 1996 bill reforming the federal government's antipoverty programs limited many welfare recipients to only two years of benefit
stealth61 [152]

Answer:

more

less

more

Explanation:

The limit on unemployment benefits would increase the incentives to find a job because after the 2 years period is over, those without jobs would get no benefits from the government.

Income distribution becomes more unequal because those who don't find jobs after the 2 year period would have no income

The economy would become more efficient because there would be an increase in the number of people employed as a result of the policy and output would increase.

Hope This Helps :)

8 0
3 years ago
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