.a..................
.
none of these strategies suggest transferring your medical debt onto a credit card or taking out a short-term loan to cover the costs. why do you suppose that’s the case?
Because the interest rate in both case is higher than your medical debt's interest rate.
What is interest rate?An interest rate informs you of how much borrowing will cost you and how much saving will pay off.
Therefore, the interest rate is the amount you pay for borrowing money and is expressed as a percentage of the total loan amount if you are a borrower. For a loan of a particular size, the higher the percentage, the more you must repay.
If you save money, you can find out how much will be deposited into your account as a percentage of your savings by looking at the savings rate. For a given size deposit, your account will receive more money if the savings rate is higher.
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A company exhibiting a high liquidity ratio is likely to have enough resources to pay off its short-term obligations. True or false?.
A company exhibiting a high liquidity ratio is likely to have enough resources to pay off its short-term obligations is a True Statement.
By calculating indicators such as the current ratio, quick ratio, and operational cash flow ratio, liquidity ratios assess a company's capacity to meet its financial commitments as well as its margin of safety.
The current ratio, acid test ratio (sometimes called the quick ratio), cash ratio, and working capital ratio are some of the most typical instances of liquidity ratios. Different analysts view certain assets as relevant in different ways.
Current liabilities, often known as short-term obligations, refer to a company's debts that are due to be repaid within a year. Short-term bank loans, accounts payable, salaries, lease payments, and income taxes payable are typical examples of short-term debt.
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g the statement of cash flows is needed to show the total change in cash and the reasons for the change true false
It is true that the statement of cash flows shows how the cash balance changed during a specific time period. Cash flows from operating, investing, and financial operations are displayed.
What Are the Steps in Cash Flow?
Cash flow is the difference between the net amount of money and money equivalents that enters and leaves a business. Inflows and outflows are represented, respectively, by money received and expended.
An illustration of cash flow
Cash flow from operations includes expenditures made in the regular course of business. These cash outflows include things like payroll, the price of goods sold, rent, and energy costs. Cash outflows may vary considerably when corporate operations are highly seasonal.
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7. As little as
A. 6
B. 2
C. 15
D. 10
percent of privately owned businesses ever move from the start-up stage to the success stage.
As little as 6 percent of privately owned businesses ever move from the start-up stage to the success stage. The correct answer would be option A.
More than two thirds of new businesses fail and are unable to provide investors with a profit. There can be many reasons why such a low number of startups become successful. Business founders claim that reasons for failure include running out of money, being in the wrong market, lacking research, poor alliances, inefficient marketing and lacking industry expertise.
Since 2014, several causes of failure have become more common, such as a dearth of market demand. This does not imply that startup ideas are becoming scarce. It illustrates the lack of diversity among founders and investors in terms of culture, geography and socioeconomic status. For example, startups that couldn't adjust to a socially isolated lifestyle were throttled by COVID-19.
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Measuring conversions is a good way to calculate your ROI. Which of the following is a commonly calculated conversion? a shares, b sediment, c downloads, d likes
A commonly calculated conversion from the list is shares. The answer to this question is option a.
What are shares?Shares can be described as a unit that is called mutual funds. The owner of a share is regarded as a shareholder.
Shares can be converted to be money. Therefore it is the best answer to this question.
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1-Elmer invested, P250,000- cash in his new business.
analysis
debit is -
credit is -
Answer:
debit is P250,000
credit is 0
Explanation:
hope it helps:)
What does the Agile Manifesto mean by value delivery select all that apply?
A) Delivering software frequently: Agile emphasizes the importance of delivering software frequently, typically on a weekly or two-weekly basis. This helps ensure that the customer is getting value from the software and that the development team is focused on delivering value to the customer.
B) Responding to change: Agile embraces change and encourages development teams to be responsive to customer feedback. This helps ensure that the customer is getting the product they need, and that the development team is focused on delivering the most value for the customer.
C) Working software as a measure of progress: Agile emphasizes the importance of delivering working software as a measure of progress. This helps ensure that the customer is getting the most value from the software, and that the development team is focused on delivering the highest quality product.
D) Collaboration between customers and developers: Agile encourages collaboration between customers and developers. This helps ensure that the customer is getting the product they need, and that the development team is focused on delivering the most value to the customer.
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Our top aim is to satisfy the customer through early and continuous delivery of valuable software, according to the Agile Manifesto's first principle. There is a lot to grasp here: Meeting client demands is our first concern.
Agile strongly emphasizes the importance of producing software frequently, typically once per week or twice per month. This ensures that the user is getting value from the product and that the development team is dedicated to delivering that value. Confronting change: Agile encourages development teams to welcome change and be sensitive to client feedback. This enables the development team to focus on giving the client the best value while also ensuring that the customer obtains the product they need. Using functional software as a standard for development Agile strongly emphasizes the importance of creating functional software as a criterion for success. This makes that the development team is concentrated on the needs of the customer .
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If the production function in a country is Y = k1/2, the investment rate equals 0.25, and the depreciation rate is 0.05, then the steady-state level of the capital stock is equal to: O 15 units. O 10 units. 5 units. O 25 units.
In the given scenario, with a production function of Y = k^(1/2), an investment rate of 0.25, and a depreciation rate of 0.05, we need to determine the steady-state level of the capital stock.
To find the steady-state level of the capital stock, we need to set the investment rate equal to the depreciation rate. In this case, the investment rate is 0.25 and the depreciation rate is 0.05. By setting these two rates equal, we can solve for the capital stock (k).
0.25 * k = 0.05 * k
Simplifying the equation, we get:
0.25k - 0.05k = 0
0.2k = 0
k = 0 / 0.2
k = 0
Therefore, the steady-state level of the capital stock is 0 units.
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How can you avoid spending more than what is in your bank account?
1. Check your bank statement once a month.
2. Ask your financial institution to notify you when you are close to $0 in your account.
3. Keep your own records to compare with your financial institution's records.
4. None of the above
WILL GIVE BRAINLY!!!!!!!!
A shift in demand may occur within a community in all of the following cases, except a change in __________.
A. birthrate
B. immigration
C. political leadership
D. age demographic
Answer:
C. political leadership
Explanation:
A shift in the demand curve occurs in many cases except for a change in political leadership.
What do you mean by demand?Demand refers to the ability, or willingness to buy a product, goods, or services.
A change in birthrate, immigration, and age demographic are the reasons for shifting in demand but a change in political leadership does not affect the demand.
Therefore, C is the correct option.
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A customer who has, as part of her account holdings, unlisted REITS, as well as a limited partnership interest in an oil and gas program, may expect her servicing member firm to show A) no valuation for the unlisted REITS and the original investment made in the DPP interest. B) a per share estimated value of the securities. C) the amount shown on Tape B the business day before the account statement closing date. D) an exact per share value as calculated on the last business day of the month.
Answer:
In recent months the news about Listed Real Estate Investment Companies -
SOCIMIS-, abound in all the economic newspapers of the country, have become one of
investment instruments with the most interest in a market where the highly
named reactivation of economic growth, as well as job creation. At
The work presented below has been intended to make a small approximation to
this unique area within the framework of a new real estate market.
As an introduction to the work itself, a reflection and approach has been made
the Spanish real estate sector, which has had so much weight in the country's growth in the
recent years, analysis that will deal with the housing market both in its aspect
residential as well as for rent.
The first part of the work consists of showing the origin of this type of societies
mercantile, beyond our borders, in countries with a social and financial culture
different from that applicable in Spain. We will study the emergence of REITs, the evolution that
have followed to this day, the legal framework in which they operate, and the characteristics and
particular of the different types. All this both in his country of origin, the United States of
America as in so many others on various continents.
The central part of the theoretical work will consist of presenting the characteristics of the
SOCIMIS - Listed Stock Companies of Real Estate Investment, companies of recent
creation. Their characteristics will be analyzed in depth, comparing them with
others with similar characteristics in the market and analyzing in depth the taxation of
these and their final impact on shareholders.
Finally, the practical case of a SOCIMI will be analyzed, from before it took that name,
going through the analysis of your real estate assets, balance sheets and loss accounts and
profits, to finally land on a listed market offering investors the
participation in the company in exchange for a return.
The final part of the work will consist of the analysis in the same way as that mentioned in point
above, but with respect to other real estate assets in which it may have an interest in investing the
SOCIMI.
You have been asked to lead a group of your coworkers in developing a new process for handling performance reviews at your office. Unfortunately, during your first meeting, you realize that everyone in the group is agreeing with each other - there is no debate happening, and no one is presenting different ideas. What can you do to solve this problem? a) Assign one person in the group to be a devil's advocate. b) Use evidence-based decision making as a group discussion technique. c) Do a postmortem review of all group decisions. d) Use brainstorming as an idea generation technique.
To solve the problem of lack of debate and differing ideas during the group meeting for developing a new process for handling performance reviews at the office, the following actions can be taken:
Assign a facilitator: The facilitator's role is to ensure that everyone gets a chance to speak and that the discussion stays on track. The facilitator can also encourage the group to present differing ideas and viewpoints.
Set ground rules: Establishing ground rules such as "respect everyone's opinion," "avoid interrupting others," and "listen actively" can encourage people to express their ideas and opinions.
Use brainstorming: Brainstorming is an idea generation technique that can encourage creative thinking and diverse viewpoints. Encourage the group to generate as many ideas as possible without judgment or criticism.
Assign a devil's advocate: Assigning someone in the group to present counterarguments to the ideas presented can help stimulate debate and discussion. This can encourage the group to explore different perspectives and weigh the pros and cons of each idea.
Use evidence-based decision making: Encourage the group to present evidence to support their ideas, and to discuss the pros and cons of each idea. This can help the group make a more informed decision.
By using these actions, the group can overcome the problem of agreeing with each other and foster a more productive and collaborative environment for developing a new process for handling performance reviews at the office. A postmortem review of all group decisions can also be done after implementing the new process to evaluate its effectiveness and make necessary adjustments.
To solve the lack of debate and different ideas in the group, you can assign a devil's advocate, use evidence-based decision making, and do postmortem reviews of all group decisions.
In order to solve the problem of lack of debate and different ideas in the group, you can implement the following strategies:
Assign one person in the group to be a devil's advocate: This person can challenge the ideas being presented and bring up counterarguments to promote healthy debate.Use evidence-based decision making as a group discussion technique: Encourage the group to back up their ideas with evidence and data, fostering a more analytical and objective approach to decision making.Do a postmortem review of all group decisions: After each decision is made, conduct a review to evaluate the effectiveness and explore alternatives, allowing for continuous improvement.Learn more about group decision making here:https://brainly.com/question/32556496
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Chester Corp. Ended the year carrying $3,578,000 worth of inventory. Had they sold their entire inventory at their current prices, how many more dollars of contribution margin would it have brought to Chester Corp. ?
Select : 1
Save Answer
$2,136,000
$7,790,850
$5,771,000
$3,578,000
The amount of contribution margin the inventory would have brought to Chester Corp. is $3,578,000. Therefore the last option is correct.
In order to get the contribution margin, we are needed to know the variable cost per unit for the inventory and the selling price per unit. Let's consider that Chester Corp. sells a single product and he has the information of,
Selling price per unit: $50
Variable cost per unit: $25
The contribution margin per unit is the difference between the selling price and the variable cost can be calculated as under.
Contribution margin per unit = Selling price per unit - Variable cost per unit
= $50 - $25
= $25
Now, to calculate the total contribution margin that Chester Corp. would have made if the entire inventory was sold, we need to know how many units of the product are in their inventory. It can be achieved by dividing the total value of the inventory by the cost/unit:
Number of units in inventory = Total value of inventory / Cost per unit
= $3,578,000 / $25
= 143,120 units
The total contribution margin that Chester Corp. would have earned if they sold their entire inventory is the contribution margin per unit multiplied by the number of units in inventory:
Total contribution margin = Contribution margin per unit x Number of units in inventory
= $25 x 143,120 units
= $3,578,000
So, it can be inferred that if Chester Corporation had sold their entire inventory at their current prices, they would have earned an additional amount of $3,578,000 in contribution margin.
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Three roads lead into a stadium's parking areas. Each road has four lanes (two in each direction) with a capacity of 1,000 vehicles/lane/hour. If 10,000 vehicles are expected for a game, how long will it take for all of them to enter the parking areas?
Answer:
Option A
Explanation:
The complete question is
Three roads lead into a stadium's parking areas. Each road has four lanes (two in each direction) with a capacity of 1,000 vehicles/lane/hour. If 10,000 vehicles are expected for a game, how long will it take for all of them to enter the parking areas?
a) 2 hours
b) 1 hour
c) 1 hour and 40 minutes
d) 90 minutes
Solution
There are four lanes.
Capacity of one lane is equal to 1,000 vehicles/lane/hour.
Let us say that each lane will provide access to equal number of vehicles
Thus, each lane will allow 10,000/4 = 2500 vehicles per hour
Time taken by 2500 vehicles on road to reach parking is equal to 2.5 hours.
The nearest answer to this option A i.e two hours
heart been broke so many times..
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Requiring managers to prepare the budgets from scratch or zero-base may help them to overcome the problem of:
Answer: Excessive cost
Explanation:
Zero-based budgeting is the sort of budgeting where when income is subtracted from expenses it gives zero. This sort of budgeting puts a measure of the expenses, it ensures the expenses matches the income. The purpose of the budget plan is to justify expenses and optimize cost, thereby look out for cost effective ways to plan and avoid inflated budgets. It primarily guides against excessive costs on projects.
say hi and i give u 94 ranking points
hi rtgijriomcfrcrecgtrcgetrgretrtrct
Answer:
hi
Explanation:
WhIcH day out of the week is the most productive for work?
Answer:
Monday
Explanation:
Its Monday Because even though it's the worst day of the week it's the most busiest.
Answer: Well, on my personal opinion, I'd say Saturday, because, since there is no school, then we can focus on productive work. For example, on busy days from Monday - Friday, we need to focus on school and then what we will do next. On Saturday, with no school, we can have more time to focus on productive work and still have time in the afternoon to do other things.
PLEASE HELP
8. The International Monetary Fund, the World Bank, and the International Development Association are international organizations that
(A) keep track of world population growth
(B) make loans to developing nations
(C) limit loans and investments to nations located in certain regions
(D) have refused to help the developing nations
Answer:
answer is b (make loans to developing nations
Which quality is a requirement In order for a destination to become a tourism destination area (TDA)?
A. should be accessible by road
B. should be in a developed country
C. should have a unique feature
D. should have a moderate climate
1. At the beginning of 2012 Marriott International, Inc. had
$5,910 million in assets and $(781) million in equity. During 2012,
Marriott’s assets increased by $ $432 million while its equity
decrea
At the beginning of 2012, Marriott International, Inc. had $5,910 million in assets and $(781) million in equity. During 2012, Marriott's assets increased by $432 million, while its equity...
decreased, as indicated by the statement being cut off. To determine the change in equity, we need more information to complete the sentence. However, we can calculate the change in equity if we have the ending equity value.
If we assume that we have the ending equity value for 2012, we can calculate the change in equity by subtracting the beginning equity from the ending equity. This will give us the net change in equity over the year.
Once we have the net change in equity, we can analyze the financial position of Marriott International, Inc. during 2012. Positive changes in equity indicate growth and profitability, while negative changes signify a decline in equity. It is essential to evaluate the reasons behind these changes and assess their impact on the company's financial performance.
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I have teechip im 14 trying to make money how do i make people buy my clothing and how do i promote it without money?
Answer:
you can advertise it through social media jazz your creativity too it will attract more attention if it is unique
which of the following will increase investment spending
A) More optimistic business expectations
B) An increase in interest rates
C) Ann increase in business taxes
D) A decrease in capacity utilization
E) All of the above
Answer:
E
Explanation:
All the suggested options can increase investment spending
Investment spending is the money spent towards business expansion in the area of acquiring capital goods such as plant and machinery or goods used in the production like the raw materials.
Optimistic business decision : Leads to more investment in potential business opportunities
Increase in interest rates : As funds are borrowed to finance investment , increase interest rate will increase spending.
Increase in business taxes : This means that companies will have to pay more on taxes
Decrease in capacity utilization : This will lead to the acquisition of more machinery and investment spending increase
Answer:A More optimistic business expectations
Explanation:
A p e x
***98 POINTS *** someone please help
Answer:
There are benefits and drawbacks to command economy structures. Command economy advantages include low levels of inequality and unemployment, and the common good replacing profit as the primary incentive of production. Command economy disadvantages include lack of competition and lack of efficiency.
Explanation:
What are the 4 main types of orders in stock market?
The 4 main types of trade order in stock market are:
Market orderLimit orderStop orderStop limit orderStock Market or Trade Order refers to the instrcution given by an investor to his broker to buy or sell the investor's share or security on his behalf through a trading platform.
Market order refers to an order to buy or sell shares immediately without any guaranteee on the execution price. Market order will be executed at or near the current bid or ask price. A broker will buy or sell an investor's shares at the current market price and does not control the amount paid for the share purchased or sale.
Limit order refers to an order to buy or sales of stock at a specific set of price or better. Limit order allows an investor to buy or sell shares at his desired price and avoid purchasing or selling price at his undesired price. Limit order will only be executed if the market price in line with the limit oder price. Limit order might come in a form of buy limit or sell limit orders.
Stop order would be executed if the price market reaches the specific desired price, or stop price. Stop order will trigger market order once the market price reaches the stop price. Stop market is used to avoid larger losses or to lock in profits.
Stop-limit order refers to a conditional order that requires placing two prices - the stop price and the limit price. Stop-limit order will trigger limit order when the stock hits the stop price. Stop-limit order will guarantee a price limit and guarantees an order execution but not necessarily at the stop order price.
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A financial security generates a future cash flow of $1,044 in 4 years. If the interest rate is 3.9%, then what is the present value of this security?
A. $896
B. $912
C. $922
D. $929
The present value of this security is (B) $912.
The present value of the security when it has generated a future cash flow of $1,044 in 4 years with an interest rate of 3.9% is $912.
The correct option is B. $912.
How to calculate the present value of this security?
The formula to calculate the present value of security or investment is;
PV = CF / (1 + r)t
Where PV represents the present value
CF represents the future cash flow
r represents the rate of interest
t represents the time period for which future cash flow is expected to generate
Now substituting the given values in the formula;
CF = $1,044r = 3.9% or 0.039t = 4 years
Therefore, PV = $1,044 / (1 + 0.039)4
= $1,044 / (1.039)4
= $912.26
≈ $912
Hence, the present value of this security is $912.
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to maximize economic surplus, keep increasing output as long as
Answer:Therefore, total surplus is maximized when the price equals the market equilibrium price. In competitive markets, only the most efficient producers will be able to produce a product for less than the market price. Hence, only those sellers will produce a product
Explanation: i no it
For augment economic surplus, continue to increment yield insofar as total surplus is expanded when the cost rises to the market harmony cost.
What is Economic Surplus?Economic surplus is determined by consolidating the surplus advantage that is capable by the two purchasers and makers in an economic exchange.
Surplus relates to products as well as to monetary components, like benefit, income, and capital. Albeit this probably won't give off an impression of being an issue, something like benefit surpluses prompts expanded charge rates, and that additional duty cash might have been contributed somewhere else.
A surplus of capital focuses to the way that the financial backer, entrepreneur, or pioneer put a lot of cash into the organization or task, considering squandered money to be a normal outcome. In economics, the idea of surplus is generally found in the term spending plan surplus. This ordinarily alludes to situations where state run administrations have supported all their set projects and have cash left over subsequently.
Therefore economies actually take a stab at an economic surplus because of the conviction that overflow is superior to shortage.
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The manufacturing overhead budget at Franklyn Corporation is based on budgeted direct labor-hours. The direct labor budget indicates that 3,300 direct labor-hours will be required in January. The variable overhead rate is $8 per direct labor-hour. The company's budgeted fixed manufacturing overhead is $43,170 per month, which includes depreciation of $3,590. All other fixed manufacturing overhead costs represent current cash flows. The January cash disbursements for manufacturing overhead on the manufacturing overhead budget should be:
Answer:
$65,980
Explanation:
Calculation for what The January cash disbursements for manufacturing overhead on the manufacturing overhead budget should be
Using this formula
Cash disbursements for manufacturing overhead= Variable + Fixed
Let plug in the formula
Cash disbursements for manufacturing overhead=(3,300*$8) + ($43,170 - $3,590)
Cash disbursements for manufacturing overhead= $26,400 + $39,580
Cash disbursements for manufacturing overhead= $65,980
Therefore The January cash disbursements for manufacturing overhead on the manufacturing overhead budget should be $65,980
_____ is the process of selecting the capital expenditures that offer the best returns and meet the goal of maximizing the firm's value.
Capital budgeting is the process of selecting the capital expenditures that offer the best returns and meet the goal of maximizing the firm's value.
The process of selecting the capital expenditures that offer the best returns and meet the goal of maximizing the firm’s value is called capital budgeting.
Capital budgeting involves several steps, such as:
Project planning: This involves identifying the strategic objectives and needs of the company and generating a list of possible investment opportunities that align with them.
Project generation: This involves screening and ranking the investment opportunities based on their feasibility, profitability, and riskiness. It also involves estimating the cash flows and costs associated with each project.
Project selection: This involves choosing the best project or combination of projects that maximize the firm’s value and meet its budget constraints. It also involves considering other factors such as qualitative aspects, strategic fit, social responsibility, etc.
Project execution: This involves implementing and monitoring the chosen project or projects. It involves acquiring the necessary resources, coordinating the activities, controlling the quality, and managing the risks.
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Brands that are trusted by internet consumers benefit by: a. more visitors to their websites. b. reduced cost of customer acquisition. c. all of these are correct. d. wider visibility.
Brands that are trusted by internet consumers benefit by a. more visitors to their websites. b. reduced cost of customer acquisition. d. wider visibility. The correct answer is c. all of these are correct.
Brands that are trusted by internet consumers benefit in multiple ways, including:
a. More visitors to their websites: When a brand is trusted, it is more likely that internet consumers will visit their website to learn more about their products or services.
b. Reduced cost of customer acquisition: Building trust with internet consumers can lead to more effective and efficient customer acquisition, as loyal customers are more likely to make repeat purchases and recommend the brand to others.
c. Wider visibility: Brands that are trusted by internet consumers may benefit from increased visibility on social media, online forums, and other online platforms as consumers share positive experiences and feedback about the brand.
Therefore, all of the options listed in the question are correct.
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