Answer:
The origin of the funds
Explanation:
hope it helped
The most basic difference between terrorist financing and cash laundering involves the starting place of the price range. Terrorist financing uses finances for an unlawful political cause, however, the cash isn't always necessarily derived from illicit proceeds.
What is money laundering?Money laundering involves disguising financial belongings in order that they can be used without detection of the unlawful pastime that produced them. Thru cash laundering, the crook transforms the economic proceeds derived from a crook pastime into finances with a seeming prison supply.
Money laundering is illegal due to the fact it's miles a way for criminals to benefit from crime and frequently involves multiple unlawful activities. Both the act and the foundation of money laundering make it unlawful.
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Which search engine strategy would best limit the results to the vehicle, Ford Explorer, rather than someone exploring in a vehicle made by Ford Motor Company or an explorer named Ford?
1. Ford Explorer*
2. Ford Explorer
3. Ford Explorer
4. Ford Explorer"
The search engine method that would best restrict the results here to vehicle is Ford Explorer.
What is a search engine?A search engine is a piece of software used to conduct online searches. They carry out methodical searches of the Internet for certain data that is specified in a sms web particular keyword.
What are results from search engines?The search engine results pages, or SERPs, are often displayed when the results are retrieved. These outcomes or details could include references to online pages, a combination of pictures and videos, published papers, news pieces, etc.
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Garnishment of wage means that a:
A. Creditor is earning interest on your wages
B. Creditor is going to foreclose on your property
C. Lender is going to take you to court to collect on a debt
D. Lender is taking money from your paycheck or bank account
Garnishment of wage means that a lender is going to take you to court to collect on a debt. It alludes to a legal procedure that directs a third party to take money out of a debtor's paycheck or bank account on their behalf.
The third party or lender, also referred to as the garnishee, is frequently the debtor's employer. Employers are not allowed to terminate a worker in order to avoid processing a garnishment wage under federal law.
For debts including unpaid taxes, cash penalties, child support obligations, and unpaid student loans, garnishments are used. In order to garnish a debtor's wages, a lender normally needs to acquire a court judgement establishing that the debtor owes money and has missed payments.
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Answer:
Lender is taking money from your paycheck or bank account
Explanation:
suppose the country is experiencing unemployment and recession. what would the effects of an expansionary policy be in this situation?
If a country is experiencing unemployment and recession, an expansionary policy would have positive effects.
The expansionary policy is a macroeconomic policy that aims to boost economic growth and reduce unemployment by increasing government spending, reducing taxes, or a combination of both.The following effects can be observed from an expansionary policy in a country experiencing unemployment and recession:
Reduced unemployment: The main goal of an expansionary policy is to reduce unemployment. The expansionary policy increases government spending, which stimulates economic growth and increases demand for goods and services. The increased demand leads to increased production, which leads to more job opportunities. This means that the unemployment rate will fall due to the increased job opportunities.
Increased GDP: An expansionary policy leads to increased economic growth, which leads to an increase in Gross Domestic Product (GDP). This is because of the increased demand for goods and services. The increased demand leads to increased production, which leads to an increase in the GDP. As a result, the economy grows at a faster rate than it would have without the expansionary policy.
Reduced inflation: The expansionary policy aims to increase economic growth and reduce unemployment. This means that there will be an increase in the supply of goods and services, which will lead to a reduction in the price level. This, in turn, will lead to a reduction in the rate of inflation.
Improved standard of living: An expansionary policy leads to increased economic growth, which leads to an increase in the standard of living. This is because people will have more job opportunities, which means that they will have more income. This will allow them to purchase more goods and services, which will improve their standard of living.
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Read the thesis statement from a historical essay. Determine which type of claim the author is making (claim of fact, definition, policy, value, or cause and effect) and why the claim fits this designation. Finally, provide an example of the type of evidence the author should use to best support the claim. (4 points)
Washington, D.C., should not become the 51st state, because making our nation's capital a state provides no economic benefits, nor did the Founding Fathers intend for it to ever become a state.
Answer:
im not 100% but think this is right
Explanation:
the author is making a claim of fact, because he is claiming that provides no economic benefits. im not sure about the second part
Using the rule of 72, t = StartFraction 72 Over r EndFraction, how long will it take for the principal to double with an annual compound interest rate of 6%?
Answer:
12 years
Explanation:
Given
\(t = \frac{72}{r}\)
Required
How long will interest rate of \(6\%\) double
We have:
\(t = \frac{72}{r}\)
Substitute 6 for r
\(t = \frac{72}{6}\)
\(t = 12\)
What is the best idea when you are filling out tax forms for the very first time?
Throughout the process of establishing its strategy, Acer’s leadership has monitored the strategies of HP and other PC manufacturers to determine the threats and opportunities presented by these competitors. This process is called ________.
A. a threat analysis
B. strategic planning
C. competitive analysis
D. differentiation strategy
E. environmental scanning
Answer:
C. competitive analysis
Explanation:
From the question we are informed about instance whereby Throughout the process of establishing its strategy, Acer’s leadership has monitored the strategies of HP and other PC manufacturers to determine the threats and opportunities presented by these competitors. In this case The process is called competitive analysis. Competitor analysis can be regarded as a strategic management which involves assessing of both weakness as well as strength of potential competitors. This method helps in identification of opportunities as well as threats.
Those who manage the work on the front lines are most involved with what component of the planning process?.
Those in charge of monitoring action on the front lines typically handle the operational planning element of the planning process.
Operational planning is a helpful document that details the primary duties and objectives a company will pursue during a specified time period, typically a year
What is more about planning process.Planning is the act of dividing one's thoughts into manageable steps. Planning is divided into four primary categories: strategic, tactical, operational, and contingency planning. To determine their goals and objectives, organizations use the strategic planning process.
Operational planning is a helpful document that details the primary duties and objectives a company will pursue during a specified time period, typically a year. It frequently has connections to finance agreements and, in a broader sense, to the organization's strategic objective.
A manufacturer developing a plan to increase sales by 30% is an example of operational planning.
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Q1. If you wanted to attract an investor to purchase shares inyour start-up, you need to make an offer that is sufficientlyattractive. Assuming the hurdle rate is 25% p.a. or over 3 years a75% return on funds invested (ROI), what is the amount to be repaid over three years?
HINT: If $100,000 is required to fund the business then investor is looking for a return of $25,000 per year and $75,000 over 3 years.
Q2. Assuming the company achieves its projected profit in the first year; what % of the business profit does this represent?
Q1 answer, based off borrowing 20k. Answer $15k - marked correctly.
To attract an investor to purchase shares in a start-up with a hurdle rate of 25% p.a. over three years, the amount to be repaid over three years would be $75,000 for a $100,000 investment. Assuming the start-up achieves its projected profit in the first year, the percentage of business profit would depend on the projected profit amount and the total revenue generated in the first year.
What exactly is a hurdle rate?A hurdle rate is the minimum rate of return required by an investor to fund a business venture. In this case, the hurdle rate is 25% p.a. for three years, which means the investor is looking for a 75% return on their investment over three years. Therefore, if $100,000 is required to fund the start-up, the investor will be expecting a return of $75,000 over three years.
Divide the predicted profit by the total revenue generated in the first year and multiply the result by 100 to obtain the percentage of business profit. For example, if the predicted profit for the first year is $20,000 and total sales are $100,000, the percentage of business profit is 20%. If the predicted profit is greater or less than $20,000, the proportion of business profit will be adjusted correspondingly.
It should be noted that the percentage of business profit is a significant statistic for investors since it demonstrates the company's potential to make profits and develop over time.
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Which of the following activities would be a part of the leading function of management?
A. Devising a new strategic plan to enter a new foreign market currently dominated by a competing firm
B. Recruiting qualified workers to join the organization and assigning them to their proper position
C. Examining a financial report to see whether the firm's profits are improving and taking corrective action if they are not
D. Training and coaching workers to help them understand their job and perform it effectively
The activity that would be a part of the leading function of management is (a) Devising a new strategic plan to enter a new foreign market currently dominated by a competing firm .
The Leading Function of management involves setting up of goals and objectives for the organization and developing strategies to achieve those goals.
Which involves assessing the current market and competitive environment, considering the organization's strengths and weaknesses, to determine the best course of action.
In option(a) , devising a new strategic plan to enter a new foreign market currently dominated by a competing firm is an example of the leading function of management.
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If you were a business man,how would you handle your home trade
Answer:
I wouldnt
Explanation:
i like my home, i wouldnt want to trade it
17. State four roles of water as a nutrient in human nutrition. 18. I) What is photosynthesis. II) State two roles played by photosynthesis in an ecosystem.
There are four functions for water as a nutrient in human nutrition: Through sweating and respiration, water helps to control body temperature.
State four roles of water as a nutrient in human nutrition.By assisting in the breakdown of food and the transportation of nutrients, water is essential for digestion and nutrient absorption. Blood volume and pressure are maintained with the aid of water. Water hydrates cells and maintains their structural integrity, which is essential for the healthy operation of organs and tissues. I) Green plants and some other organisms use sunlight, carbon dioxide, and water to synthesise their food, producing oxygen as a byproduct in the process. II) In an ecosystem, photosynthesis serves two functions: Production of oxygen: Photosynthesis is responsible for the creation of oxygen, which is necessary for the survival of many living things, including humans.
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What is a trade off.
Answer:
the exchange of something valuable
Explanation:
Answer:
A trade-off is exchange something of value, especially as part of a compromise.
Explanation:
How do objectives make it more likely that you will reach your goals?
A. Objectives are based on others' experiences.
B. Objectives help guide your career choices.
C. Objectives provide a step-by-step path to success.
D. Objectives are the best way to assess your interests.
Answer:
C seems the most reasonable
Objectives provide a step-by-step path to success: make it more likely that you will reach your goals. Thus, option C is the correct option.
How to achieve your objectives?You may achieve your goals by setting realistic goals for yourself to strive toward. The way objectives do this is by outlining specific actions you can take immediately to move closer to your long-term goals. An aim is a specific activity that must be taken in order to accomplish a goal, whereas a goal is a more general, longer-term, achievable conclusion.
Despite being distinct, the two terms are frequently used together when working on a project. This is due to the fact that both are necessary for project planning and execution. It enables you to put your grant's ideas into practice. Setting SMART goals ensures that the project advances, facilitates accountability and scheduling, and informs you of accomplishing what you set out to accomplish.
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what does a high employment rate include?
In business messages, the quantity of words enhances the quality of the message. True or false
The statement, In business messages, the quantity of words enhances the quality of the message is False.
When a brand communicates with a consumer via a messaging channel, it is said to be doing business messages. The channels enable back-and-forth, two-way discussions in words instead of communications blasts like adverts or mass email send, empowering both consumers and businesses to communicate with one another. Clear goals to educate, convince, or work together in words with the target audience are characteristics of effective business messaging. The intended audience's comprehension level, possible response, and relationship to the composer should all be taken into consideration while crafting the message. There are four major categories of corporate messages: directional (i.e., up or down), lateral (i.e., to the side), and external. Within a company, there is no one "best" approach to communication.
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What is the significance of the wealth gap?
The racial wealth gap refers to the disparity in assets of typical households across race and ethnicity.
What is mean by wealth gap?The term “wealth gap” refers to the gap in earnings between two groups such as the 1% and the 99%, white and black Americans or, more broadly, the haves and the have-nots. The wealth gap, on the other hand, gets at assets and net worth (assets minus debts), rather than looking at just income. Whereas the wage gap is the difference in earnings from labor among different races and ethnicities, the wealth gap describes the disparity of cumulative assets across races and ethnicities. This disparity results from differences in income and in the historical accumulation of assets across generations. The term reflects disparities in access to opportunities, means of support, and resources.
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Simplified forms of ABC use time-driven elements for service companies that are well aligned with the resources deployed in terms of units of time of labor.
a. true
b. false
b. false. The statement is false. Simplified forms of Activity-Based Costing (ABC) do not necessarily use time-driven elements for service companies.
While time-driven elements can be a component of ABC, they are not the sole focus or requirement for implementing ABC in service industries.
Activity-Based Costing is a cost allocation methodology that aims to assign indirect costs to products, services, or activities based on the resources consumed. It recognizes that indirect costs are driven by activities or cost drivers rather than simply by the volume of production or sales.
In traditional costing systems, overhead costs are allocated based on a single cost driver, such as direct labor hours or machine hours. However, this approach may not accurately reflect the consumption of resources in service companies where the primary resource is labor rather than machine usage.
ABC takes a more granular approach by identifying the activities that consume resources and assigning costs based on these activities. This allows for a more accurate allocation of costs to the products or services being provided. Time-driven elements can be one of the cost drivers used in ABC, especially when labor is a significant resource.
However, in service companies, other cost drivers may also be used, such as the number of customer interactions, the complexity of services provided, or the level of expertise required. These cost drivers may be more relevant and representative of the resource consumption in service industries.
Therefore, while time-driven elements can be used in simplified forms of ABC for service companies, it is not a requirement or the only approach. The selection of cost drivers should be based on the specific characteristics and resource consumption patterns of the service industry being analyzed.
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Which economic effect does a central bank hope to achieve by buying back large amounts of treasury security
A. It hopes to reduce the amount of money available for lending.
Explanation:
Usually, the central bank(Federal reserve) control the supply of money in circulation in the economy so that the nation's economy would be healthy. One of the ways through which the federal reserve controls the quantity of money in circulation is by selling or purchasing of government securities through a process known as open market operation.
If the federal reserve sells government securities such as treasury bills, in large quantities, its aim is to reduce the amount or quantity of money available to commercial banks for lending, hence mop up the quantity of money in circulation.
Also, if the federal reserve buys government securities, its aim is to make more money available in large quantities to commercial banks and other institutions, hence have more cash to lend people.
The economic effect that central bank are trying to effect by the process of buying back large amounts of treasury security is bring reduction to amount of money available for lending.
Treasury notes as well as bonds are securities that brings about payment of fixed rate of interest which is usually done every six months till the security reach a stage of maturity.The central bank do buy large amounts of treasury security so that the money that can be available for lending can be reduced.Therefore, this process are put in place to balance the economy.
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Money you pay up front to reduce the amount you will owe is called a
A. fixed loan
B. late payment
C. down payment
D. short-term loan
Answer:
down payment
Explanation:
A down payment is money paid upfront in a financial transaction, such as the purchase of a home or car. Buyers often take out loans to finance the remainder of the purchase price.
Answer:
down payment
Explanation:
Which of these can you invest in without assuming any risk?
(1 point)
bonds
property
stocks
none
Answer:
none
Explanation:
correct
a company reported the following on its december 31, 2024, balance sheet: equipment (at cost) $790,000 a disclosure note indicates that the company uses straight-line depreciation over five years and estimates salvage value as 10% of cost. the equipment averages 3.5 years on december 31, 2024. what is the book value of the equipment on december 31, 2024?
The book value of the equipment on December 31, 2024 can be found to be $292, 300
How to find the book value?First, find the yearly depreciation using the straight-line depreciation method:
= ( Cost x ( 1 - salvage value ) ) / Useful life in years
= ( 790, 000 x ( 1 - 10 %)) / 5
= 711, 000 / 5
= $142, 200
The equipment would have been used for 3.5 years on December 31, 2024 so the net book value would be:
= Cost of equipment - ( Depreciation per year x number of years)
= 790, 000 - ( 142, 200 x 3.5)
= $292, 300
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What do you think is the main economic reason why businesses grow and fail and why?
Must be written in complete high school level sentences (at least five sentences)
Lack of capital, the retention of an inadequate management team, a deficient infrastructure or business model, and inefficient marketing techniques are among the most common reasons for small business failure.
What are the causes and reasons behind the failure of some business ideas?The fact that the action aspects are not implemented, regularly reviewed, or modified as required is the primary reason for their failure. Because of this, there is a lack of focus and direction. Moreover, it results in an energy loss. If no action is done, nothing can be achieved.
What motivates a business to grow?A growth in output, which encompasses both the creation of commodities and the delivery of services, as is widely known, results in the development of businesses. If people buy this goods, sales go up. When price is constant, sales will increase and sales income will increase as a result.
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What is the Importance of public sector ??
Lauprechta Incorporated has the following employees on payroll. Assume that all the employees has only one job or that step 2 of Form W-4 is not checked and all dependents are under the age of 17. Also, the employer uses the Percentage Method Tables for Manual Payroll Systems with Forms W-4 from 2020 or Later. Use percentage method tables for a manual payroll systems. Number of Dependents from Form W- Marital Skipped Semimonthly Payroll 4 Status Married Naila $ 6,200 3 Wilfred $ 5,080 2 Married $ 3,680 0 Single Byron Annie $ 4,280 1 Single eBook Required: Complete the table for taxes to be withheld for each pay period. Note: Round your intermediate computations and final answers to 2 decimal places. References Employee Federal Withholding Tax Social Security Tax Medicare Tax Total Taxes Withheld Naila Wilfred Byron Annie 7 points $ $ GA $ 0.00 0.00 0.00 0.00
The company follows the Percentage Method Tables for Manual Payroll Systems with Forms W-4 from 2020 or Later to calculate taxes withheld. The table provided requires the completion of federal withholding tax, Social Security tax, Medicare tax, and total taxes withheld for each employee's semimonthly pay period. The calculations will be rounded to two decimal places.
To determine the taxes to be withheld for each employee's semimonthly pay period, the Percentage Method Tables for Manual Payroll Systems with Forms W-4 from 2020 or Later are used. These tables take into account factors such as marital status, number of dependents, and pay frequency. For Naila, who has a salary of $6,200 and three dependents, the table will provide the federal withholding tax, Social Security tax, Medicare tax, and total taxes withheld. For Wilfred, with a salary of $5,080 and two dependents, the same calculations will be performed. Byron, who is single with no dependents and has a salary of $3,680, will have taxes withheld based on his individual circumstances. Annie, also single with one dependent and a salary of $4,280, will have taxes calculated accordingly. The specific calculations for each employee's taxes withheld involve referencing the appropriate tables based on their individual circumstances and applying the corresponding percentages or amounts based on their income and filing status. Once the calculations are completed for federal withholding tax, Social Security tax, and Medicare tax for each employee, the total taxes withheld can be determined by summing these amounts. It is important to note that without the exact marital status, allowances claimed, and other relevant information, it is not possible to provide precise figures for the federal withholding tax, Social Security tax, Medicare tax, and total taxes withheld for each employee. These calculations require specific information from the employees' Forms W-4 and should be performed using the applicable Percentage Method Tables for accurate results.
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Owl Vision Corporation (OVC) is a North Carolina corporation engaged in the manufacture and sale of contact lenses and other optical equipment. The company handles its export sales through sales branches in Belgium and Singapore. The average tax book value of OVC’s assets for the year was $230 million, of which $184 million generated U.S. source income and $46 million generated foreign source income. The average fair market value of OVC’s assets was $276 million, of which $207 million generated U.S. source income and $69 million generated foreign source income. OVC’s total interest expense was $23 million. (Enter your answers in millions.)
a. What amount of the interest expense will be apportioned to foreign source income under the tax book value method?
b. What amount of the interest expense will be apportioned to foreign source income under the fair market value method?
a. Under the tax book value method, the amount of interest expense apportioned to foreign source income would be $4.6 million. b. Under the fair market value method, the amount of interest expense apportioned to foreign source income would be $5.75 million.
a. To apportion the interest expense to foreign source income under the tax book value method, we use the following formula:
Foreign source interest expense = (Foreign source assets / Total assets) * Total interest expense
In this case:
Foreign source assets = $46 million
Total assets = $230 million
Total interest expense = $23 million
So, Foreign source interest expense = ($46 / $230) * $23 ≈ $4.60 million
b. To apportion the interest expense to foreign source income under the fair market value method, we use the same formula with fair market values:
Foreign source assets = $69 million
Total assets = $276 million
Total interest expense = $23 million
So, Foreign source interest expense = ($69 / $276) * $23 ≈ $5.75 million
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Your content creation framework should stay consistent over time.
true
false
False, as business goals and content change, so should your process to support them.
A framework for content development is a list of the actions that must be followed, how long each step will take, and who is in charge of finishing each stage.
You can determine how much time you have to devote to each asset once you know how much content overall you want to produce. Starting with keyword research will help you decide what subjects to write about. Each piece of content you produce will need a writer, an editor, and a publisher in addition to a subject matter expert. Even if one person can do many roles, you should have at least two people working on each task to ensure that there are checks and balances in place.
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Which factors can affect a stock's price? Check all that apply.
RE
market performance
the company's financial health
the quantity products produced
location of the company
the economy
some one prove my answer 9x/7-10=48x/7+14
9x/7 - 10 = 48x/7 + 14
=> 9x/7 = 48x/7 + 14 + 10
=> 9x/7 = 48x/7 + 24
=> 9x/7 - 48x/7 = 24
=> -39/7 = 24
Not proved!!!
Max paid $24.05 for 7.4 gallons of gas. he wants to calculate the cost of each gallon of gas. max started his calculations by multiplying the divisor and the dividend by 10. he then set up this division problem: 240.5 divided by 74 how much did max pay for each gallon of gas? $0.0325 $0.325 $3.25 $32.50
Max will pay for each gallon = $ 3.25 ,correct answer is $ 3.25 ,i.e. option C
Max will pay for each gallon of gas :
$240.5 divided by 74 = 3.25
What is divisor and dividend in multiplication?It is defined as the number which is getting divided here is called the dividend. The number which divides a given number is the divisor. And the number which we get as a result is called as the quotient
Simplification of the condition :Based on the given condition let's formulate
24.05 ÷ 7.4
Multiply both the numerator and denominator with the same integer:
= \(\frac{2405}{740}\)
Cross out the common factor: \(\frac{13}{4}\)
Get the result , about how much Max will pay for each gallon of gas = $3.25
How does one do multiplication division?When we divide fractions, we really turn the division problem into a multiplication problem by turning the divisor (the second fraction) the wrong way up (switching its numerator with its denominator) and changing the division sign to a multiplication sign at the present time
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Answer: it is C brain list
Explanation:
i m smart i be work hard to get one