The principal response is that, given the information provided, Dairy Market was within its rights to terminate the Zalmans' franchise agreement in accordance with the contract's termination clause.
Which of the following aspects of business valuation are non-quantitative?ANS: F Legal factors can be a significant nonquantitative component in valuing a corporation, even though they are only tangentially connected to a firm's future cash flows and financial status.
Which government body oversees franchisors' franchise-related activities?Franchise and business opportunity vendors are required by the Federal Trade Commission's (FTC) Trade Regulation Rule on Franchising and Business Opportunity Ventures (Franchise Rule) to provide prospective buyers with financial and other information before they commit any funds.
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the problem and solutions both compete with each other . why ?
The problem and solution both compete with each other because they both are opposite in nature.
Why problem and solution compete each other?Problem and solution are two different things from each other, as problem is the undefined way of something that is much negative approach whereas solution is the way of finding the result of something or problem is positive statement.
Thus, because they both are opposite in nature.
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Connie thinks that her salary and tax rate for next year will be lower than for this year. What step should she take to minimize her taxes in the current year? Select one: a. Accelerate receipt of income. b. Delay deductions. c. Practice tax evasion. d. Accelerate deductions. e. None of these will allow her to minimize her taxes.
Answer:
d. Accelerate deductions
Explanation:
Tax acceleration is a way that a taxpayer is able to hasten tax deduction.
Taxi is paid in the year that it was incurred instead of in the subsequent year.
This way tax expense that will be paid from the current year is reduced and tax income will increase.
In the given scenario where Connie thinks that her salary and tax rate for next year will be lower than for this year, the best way to minimise her tax expense starting this year is by tax acceleration
Unsystematic risk:
A. can be effectively eliminated by portfolio diversification.
B. is compensated for by the risk premium.
C. is measured by beta.
D. is measured by standard deviation.
E. is related to the overall economy.
The answer to the given question is option A. can be effectively eliminated by portfolio diversification.Unsystematic risk is the risk that is associated with an individual stock or a small group of stocks. This risk cannot be diversified away by the addition of a large number of stocks.
This type of risk is specific to an industry or a company and is uncontrollable. Examples of unsystematic risks are changes in management, strikes, natural disasters, and more.Portfolio diversification is an investment strategy that involves investing in different types of securities.
This reduces the risk associated with the investment as the risk is spread across different securities. This helps in reducing the unsystematic risk as it eliminates the risk that is specific to one company or industry. Hence, it can be effectively eliminated by portfolio diversification.
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Which transaction caused John to overdraw his account?
By examining the financial figures provided above for John's account, it is clear that check no. 410 for $710.49 was the reason for John's account overdraft. As a result, choice (C) is valid.
What does overdrawing an account mean?A transaction in which the account holder is permitted to take more money than the account's actual balance is referred to as an overdraft from the account. The account balance is negative following a transaction that results in an overdraw.
One can clearly infer from the account statement shown above that an overdraw transaction occurred after Check No. 410 for an amount of $710.49 was drawn since the account's balance was negative for the first time.
Hence, Option (C ) is the accurate one.
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Your question is incomplete, probably the complete question is:
Which transaction caused John to overdraw his account?
(A) The Online Bill Payment of $146.67
(B) Check No. 409 for $100
(C) Check No. 410 for $710.49
(D) The Overdraft Fee of $35
A pollution charge gives the trucking industry an incentive to reduce its emissions, as long as the ___ of reducing the emissions is ___ .
A pollution charge gives the trucking industry an incentive to reduce its emissions, as long as the marginal cost of reducing the emissions is less than the tax.
What is a negative externality?
Pollution consistutes a negative externality. This is because the cost of pollution is greater than its benefits to third parties not involved in the activity that generates the population. A way to reduce pollution is to enact a pollution charge.
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David Harbert recently started a business. During the first few days of operation, Mr. Harbert transferred cash from his personal account into a business account for a company he named Harbert Enterprises. Mr. Harbert’s brother, George, invested cash in Harbert Enterprises for which he received a 25% ownership interest in the company. Harbert Enterprises borrowed cash from First Federal Bank. Harbert Enterprises paid cash to purchase a building from City Properties, Inc. How many reporting entities are mentioned in this scenario
Answer:
5
Explanation:
A reporting entity is any entity in men or organizations that depends on the financial report produced by an organization for an understanding of the financial performances and position for the purpose of decision making. This can be investors and other stakeholders in the business.
In the scenario given , the relative parties that will rely of the financial report are
David Herbert as the Entrepreneur , Herbert Enterprises which prepare the report ,George , Herbert's brother an investor , First federal bank , a loan provider and City properties.
Sally is in the new marketing department of a midsized lawn and garden company. She is working on the firm's first-ever STP analysis. She has defined the mission and objectives and identified and selected a segmentation method. The next step is to:________.
A. use the Internet, catalogs, and vendor information to draw up a list of new products.
B. find marketing interns or hire new staff to help with implementation.
C. create pro forma financial statements to complete the package.
D. evaluate the attractiveness of the various segments identified.
E. develop an advertising plan to promote the upcoming sales.
Answer:
A. use the Internet, catalogs, and vendor information to draw up a list of new products
Explanation:
STP analysis is a method that analysis a product and determines the best way to communicate its benefits to your target group.
STP is an acronym that stands for: Segment your market, Target your best customer, and Position your best offering.
In this case the market has been segmented by Sally who defined the mission and objectives and identified and selected a segmentation method.
The next step is to Target your best customer. This is best done by using the Internet, catalogs, and vendor information to draw up a list of new products.
How can the various templates that are available for new Word documents be accessed?
opening up an instance of Word
pressing CTRL+N with Word open
clicking File to enter Backstage View
all of the above
Answer: All of the above
Explanation:
When you open up Word newly, the available templates will be listed for you to choose one of your preference and if those are not enough, one can still get more online.
Pressing CTRL+N with Word open will also enable you to have access to the various templates. Finally, clicking File will enable you to enter Backstage View where you can then click on New to see the various templates.
Answer:
the answer is d) all of the aboveExplanation:
when comparing section 529 plans to coverdell education savings accounts, which statement is false? a the account may be opened by any adult b annual contributions are limited to $2,000 per beneficiary c earnings build in the account tax deferred d distributions to pay for higher education expenses are not taxable
The false statement among the options provided is A: "The account may be opened by any adult." This is incorrect, as only parents or legal guardians can open a Coverdell Education Savings Account (ESA) for a child under the age of 18.
On the other hand, Section 529 plans can be opened by anyone, including parents, grandparents, other relatives, and even non-relatives.
Regarding the other options:
B) Annual contributions are limited to $2,000 per beneficiary. This is true for Coverdell ESAs, whereas Section 529 plans have much higher contribution limits, typically in the hundreds of thousands of dollars per beneficiary.
C) Earnings build in the account tax-deferred. This is true for both Coverdell ESAs and Section 529 plans, which means that investment gains are not subject to federal income tax as long as they remain in the account.
D) Distributions to pay for higher education expenses are not taxable. This is also true for both types of accounts. Qualified distributions from Coverdell ESAs and Section 529 plans used to pay for qualified higher education expenses are not subject to federal income tax.
In summary, while both Coverdell ESAs and Section 529 plans offer tax benefits for education savings, there are important differences to consider when choosing between them, including contribution limits, investment options, and flexibility in using the funds.
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Period of time when unemployment rises and businesses begin to produce less and less
Answer:
Cyclical unemployment
Explanation:
The process of this happening is known as Cyclical unemployment. This is something that is common in every country around the world and tends to happen due to many reasons. Each countries economic cycle is different and follows different ranges. The United States Economic Cycle tends to happen roughly every 8 years, although this is not 100% guaranteed. When it does happen Stock Markets tend to crash which is what causes a chain reaction that leads to unemployment rises and businesses producing less and less as there is less consumer spending.
با ما
Outline two reasons why a business such as AEC could not be
Successful without other firms providing natural resources
Answer:
Because of product's use of natural resources in its input (1) and dependence on the supply chain system of other companies.
Explanation:
The reason is that all of the companies rely on natural resources that the companies are processing and making it available for the other companies to utilize it to control its cost and complete the production of the products. The energy is a natural resource which every company utilizes and due to this its production is largely dependent on the firms that are processing natural resources to make it available for companies to utilize it.
The next most important thing is supply chain system of natural resource companies that helps the companies like AEC and even an individual to make the use of these natural resources in an efficient and effective manner. If I don't have access to fuel, then I cann't travel and traveling by using horses would be expensive and time consuming. So supply chain system of the other businesses play key role here.
Which is an example of specialty media?
a) T-shirts with a store logo on them
b) A satellite television ad
c) A "midnight madness" sale
Answer:
a) T-shirts with a store logo on them
Hope it helps...
Select the correct answer.
From the following balances of Casper Inc., calculate the free cash flow of Casper Inc.
From the given balances of Casper Inc., the free cash flow of Casper Inc. can be calculated as $917,000. Hence the correct option is c.
Give a brief account on free cash flow.Free cash flow (FCF) refers to the cash a company generates after accounting for cash outflows in order to support its business and maintain its fixed assets. Unlike earnings and net income, free cash flow is a measure of profitability, excluding non-cash expenses on the income statement and including spending on equipment and assets, and changes in working capital from the balance sheet. increase.
Free cash flow = Net operating profit after taxes - Net investment in operating capital.
Net operating profit after taxes = Cash flow from operating activities
Net investment in operating capital = Sale of machinery + Dividend paid
Free cash flow = 1,000,000 - (30,000 + 53,000)
Free cash flow = 1,000,000 - 83,000
Free cash flow = $ 917,000
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The owner of Firewood To Go is considering buying a hydraulic wood splitter which sells for $50,000. He figures it will cost an additional $100 per cord to purchase and split wood with this machine, while he can sell each cord of split wood for $125. How many cords of wood would he have to split with this machine to break even
Answer:
The correct answer is "2000 units".
Explanation:
Given:
Fixed cost,
F = $50,000
Variable cost,
VC = $100 per unit
Price,
P = $125 per unit
Let the units to be sold be "x".
Throughout the case of breakeven,
⇒ \(Total \ revenue=Total \ cost\)
⇒ \(125x=50000+100x\)
On subtracting "100x" from both sides,
⇒ \(125x-100x=50000+100x-125x\)
⇒ \(25x=50000\)
⇒ \(x=\frac{50000}{25}\)
⇒ \(=2000 \ units\)
how can we use the list of preference while making decisions
Answer:
you Nepal ?
Explanation:
hey what you asking
if taxable bond funds or individual bonds are held in a tax-free account such as a roth ira, then the income from them would be free from federal taxes, provided certain requirements are met.
Bonds & bond funds have varying tax treatment because of how they treat your principle and distribute income.
What are Tax implications of bonds and bond funds?Taxable bond fund income is typically taxed at ordinary income tax rates at the federal and state levels in the year it is generated. State taxes may not apply to funds that only hold US Treasury bonds. The interest costs you earn if you buy a bond issued by your own state are often free from state income taxes.
However, you would normally need to pay state income tax if you receive interest on bonds issued outside of you home state. In general, interest on corporate bonds is always subject to taxation. The majority of interest income from municipal bonds is tax-free under federal law.
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when can the insuere get the answers to unanswered questions
It waived one of its legal rights, which is the right response. An insurer has given up one of its legal rights if it accepts an application with open-ended questions and includes it in the life contract.
The claims the insured makes on the insurance application are referred to as representations. Many of these statements are replies to inquiries about the applicant's insuranceability rights and appropriate fee structure. Your insurance provider may want a statement if you reported the collision so that it can identify who was at fault for the collision. The magnitude of your damages and injuries may also be a concern for the insurance company.
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11. Which of these does NOT represent a type of credit?
*
1 point
A certificate of deposit (CD)
A credit card
A mortgage
A certificate of deposit (CD) does not represent a type of credit.
A certificate of deposit (CD) does not represent a type of credit. A certificate of deposit is a financial instrument offered by banks and credit unions that allows individuals to deposit a certain amount of money for a fixed period of time, typically ranging from a few months to several years. In return, the financial institution pays the depositor a fixed interest rate.
Unlike credit cards and mortgages, which involve borrowing money, a CD involves depositing money with the financial institution. The individual essentially lends money to the institution, and in return, earns interest on the deposited amount. The interest rate offered on a CD is predetermined and agreed upon at the time of purchase.
CDs are considered to be a low-risk investment option because they are typically insured by the government up to a certain amount. They provide a stable and predictable return on investment, making them attractive to individuals who prioritize safety and want to preserve their principal.
In summary, while credit cards and mortgages involve borrowing money, a certificate of deposit is not a type of credit. Instead, it is a financial instrument that allows individuals to deposit money with a financial institution and earn a fixed interest rate over a specified period of time.
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How important is money
Answer:
very important
Explanation:
money is a global income source for everyone. we all have different types but it is all still money. now say one country got rid of money and had people pay for stuff using other things. if china did that lots of different countries wouldn't be able to get stuff from there unless they had so much of that product they could just give it up.
4. There are two goods, X and Y. The absolute price of X rises and the
absolute price of Y does not change. Prove that the relative price of X rises in
terms of Y.
When the absolute price of x increases while keeping the cost of y constant, the relative cost also increases.
What does absolute price mean?The amount of money required to trade a particular quantity of an item for an absolute price.
Let the absolute price of x be 2 and that of y be 4 ,now let the price of y remains unchanged and that of x rises to 4, relative price means the price of one good with respect to the other, so in the first case relative price x/y =2/4 = 0.5
Now as it rises to 4,
new relative price =4/4 =1
1>0.5
So, when absolute price of x rises keeping that of y constant, then the relative price also rises.
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which of the following is an advantage of the corporate form of organization? question 1 options: control of a corporation may be held by those with a minority of the investment. the cost of forming and maintaining a corporation is minimal. a corporation need not be qualified in all states where it is conducting local or intrastate business. license fees and franchise taxes are not assessed against corporations. corporate income is not subject to double taxation.
The advantage of the corporate form of organization is that a) control of a corporation may be held by those with a minority of the investment.
This means that a minority shareholder or group of shareholders can exercise significant control over the corporation, provided they own a sufficient number of shares. This is in contrast to other forms of organization where control is typically proportional to investment.
However, it is important to note that there are also disadvantages associated with the corporate form of organization, such as the potential for conflicts of interest between shareholders and management, and the complexity and expense of forming and maintaining a corporation.
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areamany stockholders choose to invest in preferred stock because a.dividends are distributed to preferred stockholders before common stockholders. b.the preferred dividend distributions are generally increased each year. c.preferred stock includes the right to participate in management decisions through voting privileges. d.preferred stock can always be converted into common stock at the stockholder's option.
Because preferred dividend payouts are increased overall each year, numerous stockholders want to invest throughout preferred stock.
What exactly are stockholders?
A stockholder is a company shareholder or an individual who has at least one proportion of an organization's capital stock. Stockholders are the majority of the company's owners, and they typically acquire the company's success in the form of a higher stock valuation.
What are the two types of stockholders?
A company's shareholders are classified as either common or preferred. They are the shareholders of a corporation's common stock, as the name implies. These individuals have voting rights in matters pertaining to the company.
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when a company makes a project fully operational and trains local managers and workers before foreign owner takes control, we have the special licensing agreement:
We have the special licensing agreement they are utilizing foreign direct investment when a business makes a project fully operational and training local management.
What does FDI mean in plain termsAcquisition of a certain organization's stock by another foreign organization is referred to as a foreign direct investment. Such an operational and trains is situated elsewhere than the company whose interest is being bought.
Direct investment can take many different forms. Through so-called greenfield direct investment and licensing, a corporation might join a foreign market by giving money to develop a new plant, distribution centre, or retail, for example, to establish its presence in the host nation and employees before a foreign owner takes control of agreement.
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HELPP on question 10
Answer:
land?
Explanation:
Answer:
Land
Explanation:
Sarah Stoner sells handmade jewelry that she designs herself. The items aren't expensive, and she has a loyal following in her town and the surrounding area. Sarah incurred the following unit costs to produce 60,000 items. Direct materials $4.00 Direct labor $2.25 Variable overhead $1.25 Fixed overhead $3.50 Sarah began the year with no inventory. During the year, she sold 50,000 items for $15 each, incurring $1.25 in selling costs per item plus $8,000 in advertising and other selling expenses. (a) Under variable costing, what is Sarah's operating income? Operating income (b) Under absorption costing, what is Sarah's ending Finished Goods Inventory balance? Ending Finished Goods Inventory balance
Under variable costing, Sarah's operating income is $105,000Variable costing system:Variable costing, also known as marginal costing or direct costing, is a cost accounting system in which variable expenses are only charged to units of output.
As a result, fixed overhead costs are not considered to be part of the product costs, and they are only charged to the period in which they are incurred. The formula for calculating operating income in a variable costing system is:
Sales revenue - Variable expenses - Fixed expenses = Operating income 50,000 units were sold by Sarah Stoner at $15 each. Direct materials, direct labor, and variable overhead costs a total of $7.50 per unit.
The selling costs are $1.25 per unit, and the fixed overhead is $3.50 per unit, resulting in a total fixed expense of $210,000.
Variable expenses = (50,000 units x $7.50 per unit) + (50,000 units x $1.25 per unit) = $437,500
Fixed expenses = $210,000Operating income = (50,000 units x $15 per unit) - $437,500 - $210,000 = $105,000b) Under absorption costing, Sarah's ending Finished Goods Inventory balance is $37,500
Absorption costing system: Absorption costing, also known as full costing or traditional costing, is a cost accounting system in which all production costs, both fixed and variable, are assigned to units of output. As a result, both variable and fixed overhead expenses are included in product costs.
The ending Finished Goods Inventory balance can be calculated by subtracting the cost of goods sold from the total cost of goods manufactured. The following information can be used to determine the cost of goods sold:
Cost of goods manufactured = Direct materials + Direct labor + Variable overhead + Fixed overhead = $10 per unitCost of goods sold = (50,000 units sold x $10 per unit) = $500,000
Ending Finished Goods Inventory balance = Total cost of goods manufactured - Cost of goods soldEnding Finished Goods Inventory balance = ($10 per unit x 60,000 units) - $500,000 = $100,000 - $500,000 = -$400,000
Negative ending inventory implies that more items were sold than manufactured, which is impossible. As a result, the manufacturing overhead is underapplied. The amount of underapplied overhead can be calculated as follows:
Actual overhead incurred - Overhead applied = Underapplied overheadUnderapplied overhead = $52,500 - $42,000 = $10,500The underapplied overhead is written off by increasing the cost of goods sold, decreasing the ending inventory balance, or a combination of the two. Since Sarah Stoner only sold 50,000 units during the year, the underapplied overhead must be allocated to the ending Finished Goods Inventory balance to balance the accounting equation. The ending Finished Goods Inventory balance is calculated as follows:
Ending Finished Goods Inventory balance = Total cost of goods manufactured - Cost of goods sold + Underapplied overheadEnding Finished Goods Inventory balance = ($10 per unit x 60,000 units) - $500,000 + $10,500 = $600,000 - $500,000 + $10,500 = $110,500
The ending Finished Goods Inventory balance is $110,500, which is incorrect because it is higher than the total cost of goods manufactured. Therefore, the underapplied overhead must be allocated to cost of goods sold. Therefore, the ending Finished Goods Inventory balance is $37,500.
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what is the significance of inventory management in the overall supply chain management? research at least one company that you believe is doing an excellent job at managing its inventory.
Inventory management is a critical component of supply chain management, as it allows businesses to track and control their inventory levels. Good inventory management helps businesses to maintain accurate records of inventory, reduce the risk of overstocking or stock-outs, and ensure the efficient flow of goods.
One company that is doing an excellent job of inventory management is Amazon. Amazon has a sophisticated inventory management system that uses a variety of forecasting and optimization techniques to anticipate customer demand and ensure that the right products are available at the right time.
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Centrifugal is a bike rental company operating in the UK. Centrifugal have two main customer groups:
Members who pay a monthly subscription fee and can use the bikes as often as they like during the month
Casual Riders who pay on per ride basis.
Data on the total number of rides over the past six months was collected and can be found on the Centrifugal Worksheet.
Last year the average number of daily Casual Rides was 500. Centrifugal has since increased promotion of their casual service. Conduct a test at the 10% level of significance to determine if the average number of casual riders has increased since then.
Week Day Total Bike RidesCasual Rides Member Rides
The company Centrifugal is bike rental company in the United Kingdom. Centrifugal has two main customer groups. The first group are Members who pay a monthly subscription fee and can use the bikes as often as they like during the month. The second group are Casual Riders who pay on per ride basis.
The given data states that the last year the average number of daily Casual Rides was 500. Centrifugal has since increased promotion of their casual service. So we need to conduct a test at the 10% level of significance to determine if the average number of casual riders has increased since then. The data collected over the past six months is given on the Centrifugal Worksheet. We need to find out if the mean of casual rides has increased or not.Let µ be the mean of daily Casual Rides, now our hypothesis will be:
H0: µ ≤ 500 (The average number of Casual Rides per day has not increased)H1: µ > 500 (The average number of Casual Rides per day has increased)We will use a one-tailed t-test to check the hypothesis at a significance level of α = 0.10. I am unable to include the worksheet image and calculation here but I can show you the steps you have to follow to find the solution.
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Let M=PxX+ PyY represent the consumer's budget constraint, where M represents income, Px the price of Good x, and Py the price of Good Y. Initially Px is $2 and Py is $4., and M is $400
Assume that income (M) and the price of Good x (Px) remain unchanged, while the price of Good Y (Py) increases by 100%
Under this new scenario, the slope of the budget constraint remains unchanged.
True
|False
False..The slope of the budget constraint will not remain unchanged when the price of Good Y (Py) increases by 100%.
The slope of the budget constraint represents the rate at which the consumer can trade one good for another while keeping the same level of utility. It is calculated as the ratio of the price of Good X (Px) to the price of Good Y (Py).
Initially, when Px is $2 and Py is $4, the slope of the budget constraint is 2/4 = 0.5. This means that for every unit of Good X the consumer purchases, they must give up 0.5 units of Good Y to remain on the budget constraint.
However, when the price of Good Y increases by 100%, the new price becomes $8. The new slope of the budget constraint will be 2/8 = 0.25. This indicates that for every unit of Good X the consumer purchases, they now have to give up 0.25 units of Good Y.
Therefore, the slope of the budget constraint changes from 0.5 to 0.25 when the price of Good Y increases by 100%.
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A competitive firm maximizes profit at an output level of 500 units, market price is $24, and ATC is $24.50. At what range of AVC values for an output level of 500 would the firm choose not to shut down
Answer:
A firm would shut down if its Current Price P < AVC (Current Price is less than the Average Variable Cost)
Thus, the condition for not shutting down of a firm is P > AVC (Current price is greater than the Average Variable Cost)
When AVC is less than $24, the firm will choose not to shut down because it is covering its variable costs at the current price
Savings increases financial security and reduces stress because you know that if an emergency comes up, you will be prepared for it financially.
NEED ANSWER ASAP PLEASE
The statement is generally true. Having savings can increase financial security and reduce stress because it provides a financial safety net that can be used to cover unexpected expenses, such as medical bills or car repairs.
Without savings, such expenses could lead to debt or financial hardship, causing stress and anxiety.In addition, having savings can provide a sense of control and confidence over one's financial situation. Knowing that there is money set aside for emergencies or future expenses can provide a sense of security and peace of mind, which can help to reduce stress levels.
However, it is important to note that the amount of savings required for financial security and stress reduction can vary depending on individual circumstances, such as income level, expenses, and financial goals. It is generally recommended to have at least three to six months' worth of living expenses saved as an emergency fund.
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