If your bank account is closed, money cannot be deposited. Therefore, the correct option is B, False.What happens if a bank account is closed?If a bank account is closed, the money in the account is not readily accessible.
Cheques or automated payments and deposits could be rejected or returned, causing negative effects on credit scores and reputations. Therefore, it is not recommended to close a bank account with a negative balance because the bank may report the account to a credit bureau, causing a hit on credit scores.When an account is closed, it is critical to settle all outstanding balances before doing so.
The bank might use the money in the account to pay off the overdraft or charge off the account, which could result in extra fees or interest charges. A bank may also send any negative balance to collections if it is left unpaid for an extended period. Once the debt is passed on to a collection agency, it may affect the individual's credit score by lowering it. It is not advised to allow a bank account to be closed with an outstanding negative balance.
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by paying college students a subsidy equal to the external benefit from a college education, the government will cause students to internalize the externality. that is, the external benefit from a college education will become a
By paying college students a subsidy equal to the external benefit from a college education, the government will cause students to internalize the externality.
That is, the external benefit from a college education will become an internal benefit for the individual students. Currently, individuals who invest in higher education receive both private benefits, such as higher wages and job opportunities, and external benefits, such as increased economic growth and social benefits.
The external benefits, however, are not accounted for in the individual decision to invest in higher education, leading to a suboptimal level of investment in higher education. By providing a subsidy equal to the external benefit, the government can incentivize individuals to invest in higher education to a socially optimal level.
The subsidy will create a positive externality for the individual, as they will receive both the private and external benefits of higher education, leading to a more efficient allocation of resources and a more educated population.
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PROBLEM: The Chicago Cubs play their home games at Wrigley Field, located in the Lakeview neighborhood of Chicago. A recent New York Times study concluded that the probability that a randomly selected Lakeview resident is a Cubs fan is 0.44.
(a) Interpret this probability as a long-run relative frequency.
Answer:
If a large Number of Lakeview residents are questioned, about 44% of them will be Club fans.
Explanation:
Reporting the probability outcome of a singular observation are usually reported as stated above, that the probability of a random sample of Lakeview resident being a club fan is 0.44%. However from a long run relative frequency approach, it requires just more Than one random sample but a large number of samples being evaluated over time.
Hence to expresa as a long run relative frequency, it could be stated as ; report gathered from many Lakeview residents, about 44% of them are Club fans.
A company has $10,710 available per month for advertising. Newspaper ads cost $180 each and can't run more than 22 times per month. Radio ads cost $560 each and can't run more than 31 times per month at this price
Answer:
22 radio advertisements will be used.
Explanation:
Note: A similar complete question is as follow as the question provided is incomplete "A company has $11,970 available per month for advertising. Newspaper ads cost $110 each and can't run more than 25 times per month. Radio ads cost $410 each and can't run more than 32 times per month at this price. Each newspaper ad reaches 5950 potential customers, and each radio ad reaches 7100 potential customers. The company wants to maximize the number of ad exposures to potential customers. Use n n for number of Newspaper advertisements and r r for number of Radio advertisements . Maximize P"
Number of potential customers that can be reached due to each dollar spent in newspaper advertising = 5950 / 110 = 54.09
Number of potential customers that can be reached due to each dollar spent in Radio advertisements = 7100 / 410 = 17.32.
As the number of potential customers reached by each dollar spent is more from the newspaper advertising, we will use all the newspaper advertising opportunities before going for the radio advertisements. So, we will choose to have 25 newspaper advertisements in the month.
The cost of 25 newspaper advertisements = 25*110 = $2750.
Amount left = $11970 - $2750 = $9220.
Number of radio advertisements possible in this budget = 9220 / 410 = 22.48
Hence, 22 radio advertisements will be used.
Shereen has accidentally overdrawn her checking account this month. Thankfully, she has a little money in savings and can cover costs for now, but she has to find a way to reduce her monthly spending. What should Shereen do to reduce her monthly expenses?
a. put off paying her credit card bill until she can afford it
b. invest in a new electric car to pay less on gas
c. stop dining out at restaurants and going to the movies
d. start shopping at higher-quality boutiques for clothes
Answer: C
Explanation: This option makes the most sense.
c. stop dining out at restaurants and going to the movies
aanu owns several computer repair shops across northeastern wisconsin, and she has set a goal for her company of increasing market share in all locations over the next three years. aanu has set a:
Aanu's goal of increasing market share in all locations over the next three years is a strategic goal.
A strategic goal are the specific objectives a firm aims and plans to achieve over a specified period of time. The strategic goal set by the firm can either be financial or nonfinancial.
Examples of strategic goals include:
Increasing the market share of the company. Increase customer satisfaction.Increase the number of customers of the company.Other types of goals are:
Operational goals are the steps that a firm takes to achieve in the long term success. Tactical goals are goals that are set for the immediate short time period.To learn more about strategic goals, please check: https://brainly.com/question/15301818?referrer=searchResults
quick will give brainliest Bank A has a liquidity ratio close to 30 percent. This ratio will most likely _____.
not affect the bank’s run-off rate
cause a higher than acceptable run-off rate
cause a lower than acceptable run-off rate
Quick will provide the smartest The liquidity ratio for Bank A is almost 30%. The bank's run-off will probably not be impacted by this ratio.
Quick ratio is a ratio of liquidity?In order to determine a company's ability to meet its immediate financial obligations, analysts and investors use liquidity data called the quick and current ratios.The current ratio is calculated by dividing current liabilities by current assets.The quick ratio only considers highly liquid assets or cash equivalents as current assets.
What is a decent quick ratio?If the company's assets can be turned into cash extremely fast, a ratio of less than 1.5 is less problematic. Although a current ratio of three or four may indicate financial health, it also raises questions about whether a corporation is ineffective at investing the money it does have.
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Why is internal control over cash important? Check all that apply.
- the elevated risk of theft
- the high volume of cash transactions
- the inherent lack of segregation of duties
- the infeasibility of document procedures
Except for option C. All that apply Internal controls must be in place to protect these assets and ensure that only authorized individuals have access to them.
What is Internal Control?Internal control is a procedure implemented by a company's board of directors, management, and other staff members and intended to give reasonable assurance that the information is trustworthy, accurate, and timely. of adherence to relevant laws, rules, contracts, policies, and procedures.
Thus, Internal control is crucial when it comes to cash because it is susceptible to theft or loss. Because of the enormous volume of cash transactions, there is always always a very high risk of theft, which is prevented by the separation of roles and the impossibility of document procedures.
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Differences between Communism, capatilism, socialism essay
Capitalism and communism are different in their political and economic ideologies. Capitalism and Communism never go together. One of the major differences between capitalism and communism is with regard to the resources or the means of production.In Communism, the community or society solely owns the resources or the means of production. An economic and political system in which a country’s trade and industry are controlled by private owners for profit, rather than by the state is called capitalism. On the other hand, a political and economic theory of social organization which advocates that the means of production, distribution, and exchange should be owned or regulated by the community as a whole is known as the socialism.In capitalism, the individual’s right is the basic principal, whereas, in socialism, the equality among people is the basic principal. In capitalism, the maximum profits and incomes are for the investors or the individuals, whereas in socialism, the equal distribution of wealth among the people of the country.
If iowa’s opportunity cost of corn is lower than oklahoma’s opportunity cost of corn, then:.
Answer:
Then Iowa has a comparative advantage.
Explanation:
She if able to produce more corn at a less opportunity cost in comparison to Oklahoma. Therefore it implies that she has an advantage of producing more for less than Oklahoma.
If Iowa's opportunity cost of corn is lower than Oklahoma's opportunity cost of corn, Iowa has a comparative advantage in the production of corn. Hence, Option (b) is correct.
Opportunity cost refers to the value of the next best alternative that must be forgone when choosing one option over another.
If Iowa's opportunity cost of producing corn is lower than Oklahoma's, it means that Iowa gives up less in terms of alternative goods or services when allocating resources to corn production.
By having a lower opportunity cost of producing corn, Iowa can produce corn more efficiently relative to Oklahoma.
This implies that Iowa has a comparative advantage in corn production.
Comparative advantage is based on the concept that countries or entities should specialize in producing goods or services where they have a lower opportunity cost, and then trade with other entities to maximize overall efficiency and welfare.
Thus, if Iowa's opportunity cost of corn is lower than Oklahoma's, Iowa has a comparative advantage in the production of corn.
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If Iowa's opportunity cost of corn is lower than Oklahoma's opportunity cost of corn, then Iowa has a:
A)absolute advantage in the production of corn.
B)comparative advantage in the production of corn.
C) absolute advantage in the production of wheat.
D)comparative advantage in the production of wheat.
madison company issued an interest-bearing note payable with a face amount of $24,600 and a stated interest rate of 8% to the metropolitan bank on august 1, year 1. the note carried a one-year term. based on this information alone, the amount of total liabilities appearing on madison's year 1 balance sheet would be:
The amount of total liabilities appearing on Madison's Year 1 balance sheet would be $25,420.
To calculate the total liabilities, we need to determine the principal amount and the accrued interest on the note payable. The principal amount is the face amount of the note, which is $24,600.
Step 1: Calculate the annual interest
Annual Interest = Principal Amount x Stated Interest RateAnnual Interest = $24,600 x 8% = $1,968Step 2: Calculate the accrued interest for the remaining months (August 1 to December 31)
Since the note was issued on August 1, Year 1, there are five months left in the year. We need to calculate the interest for these five months.
Step 3: Calculate the total liabilities on the Year 1 balance sheet
Total Liabilities = Principal Amount + Accrued InterestTotal Liabilities = $24,600 + $820 = $25,420So, the amount of total liabilities appearing on Madison's Year 1 balance sheet would be $25,420.
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Four year universities are the only type of school worth attending. True False
Answer:
false
Explanation:
Answer:
false
Explanation:
there are a number of other reliable schooling options
Which situation most directly illustrates a possible outcome of a fiscal
policy?
A. New environmental regulations make drinking water in a city safer.
B. The government decides it is time to print a great deal of new
money
O C. Struggling farmers receive less assistance from the government.
O D. A company decides to expand its operations into several new
states
Answer:
C
Explanation:
The correct answer would be option C that says that the struggling farmers receive less assistance from the government as fiscal policies are associated with determining the expenses and taxation policies to the various sectors to regulate the direction of the economy.
There are two types of Fiscal Policy that are Expansionary and Contractionary.
Expansionary fiscal policy:
deals with an increase in spending and/ or relaxing in taxation by the government so that consumers in the economy get more money.Contractionary policy:
deals with reducing spending and/ or increasing taxation.In this case, farmers did not get assistance from the government due to reducing the amount of Federal money available for farming and farmers is an illustration of Contractionary fiscal policy.
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pxg co. has total assets of $10,400,000 and a total asset turnover of 2.54 times. assume the return on assets is 12 percent. what is its profit margin? (do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
PXG Co. has $10,400,000 in total assets and a total asset turnover of 2.54. Suppose the asset return is 12 percent. Its profit margin is 4.72%.
How is the profit margin calculated?The profit margin of a business is calculated as the profit (sales less all costs) divided by the revenue. By comparing profit to sales, the profit margin ratio illustrates how effectively a business is managing its overall finances. Every time, it is expressed as a percentage.
Profit margin is calculated by multiplying revenue by profit (by 100). A net profit margin and a gross profit margin are the two types of profit margins (smaller).
We need the net income and sales in order to calculate the profit margin. We can calculate sales using total asset turnover, and net income using return on assets. Starting with the whole asset turnover, we discover that sales are:
Total asset turnover = Sales / Total assets
2.54 = Sales / $10,400,000
Sales = $26,416,000
As for the net income:
ROA = Net income / Total assets
0.12 = Net income / $10,400,000
Net income = $1,248,000
Now that we have the profit margin, it is:
Profit margin = Net income / Sales
Profit margin = $1,248,000 / $26,416,000
Profit margin = 0.0472 or 4.72%
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(whoops sorry this one's actually maths)
Marie goes to the clothing store. Her purchases equal $89.25. The sales tax is 8%. How much tax does she pay?
A $7.14
B $7.86
C $71.40
D $78.60
Answer:
she pays $ 7.14 tax ...
Explanation:
tax = tax rate × purchase cost
= 8% × $89.25
= $ 7.14
_______________ involves you imagining yourself achieving your final goal.
A.
Process visualization
B.
Outcome visualization
C.
Backward goal setting
D.
SMART goal setting
Answer:
it's probably d
Explanation:
pls make me the brainly
(MC)What was the main way that African American farmers get out of the debt that they incurred as sharecroppers
Answer:
Debt peonage
Explanation:
Debt peonage is defined the process by which a debt owed is paid off by work or labour.
In America after the civil war ended a lot of Black American farmers were sharecroppers who incurred debts. These debts were paid off by the process of debt peonage.
Farmers were forced to pay a share of their crops to cover expenses such as rent and purchase of equipment needed for farming.
When they were unable to pay off the debt the had to work to pay it off. They could not earn enough income to pay off the debt.
Regarding bonds with put options, which of the following statements are TRUE?I Exercise of the put is at the option of the bondholderII Once the option is exercisable, the bond's price will not fall below the option price if interest rates riseIII Yields on bonds with put options are higher than similar bonds without this featureA. I onlyB. I and IIC. II and IIID. I, II, III
The right response is C, II, and III. Statement I am correct. II is also true, Third statement is also accurate. The increased safety and protection provided by the put option is reflected in the higher yields that bonds with put options typically have compared to comparable bonds without this feature.
A bond is essentially a loan from an investor to a borrower, such as a business or the government. The investor earns interest on the investment while the borrower uses the funds to support its activities. A bond's market value may fluctuate over time. A bond is a loan made to the bond issuer by the bond buyer, or bondholder. When they require money, corporations, governments, and local governments all issue bonds. When a person purchases a government bond, they are lending money to the government. When a shareholder purchases a corporate bond, the shareholder is effectively lending the company money.
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A project team that operates with a full-time project manager as a separate unit from the rest of the organization is structured using ________ organization.
Answer:
E.) Projectized
Explanation:
These are the options
A. Functional
B. Balanced matrix
C. Weak matrix
D. Strong matrix
E. Projectized
A project team that operates with a full-time project manager as a separate unit from the rest of the organization is structured using projectized organization.
A projectized organization reffered to as a settings, where activities are arranged in form of projects or even programs and these activities are been executed, these projects are carried out by team with a project manager as their authority in which all the member of the team gives report to.
KTF makes building materials, including cement and bricks. Last year KTF had sales of $25bn. KTF's objectives have often changed since it was started 60 years ago. The Managing Director wants KTF to expand. KTF is going to take over one of its main competitors. The newly expanded business will have combined sales of $40bn. The Managing Director said: 'Many stakeholder groups will be affected by this decision. She knows there are many external factors that affect business activity including the business cycle, interest rates and legal controls to protect the environment
Business cycle is the natural fluctuation of economic activity between periods of expansion and contraction. The change in objectives of business as the Managing Director recognizes the impact on stakeholders and external factors like the business cycle, interest rates, and legal controls. An advantage of taking over a business is increased market share, while a disadvantage may be potential legal or financial issues.
Business cycle is the natural fluctuation of economic activity, characterized by changes in GDP, income, employment, and production levels over time. It typically consists of four phases: expansion, peak, contraction, and trough.
Two reasons why a business must change its objectives are: (1) to adapt to changing market conditions, technological advancements, or consumer preferences, and (2) to remain competitive in the industry by expanding, diversifying, or improving its operations and performance.
An advantage of KTF taking over another business is that it can increase its market share, expand its customer base, and improve its economies of scale and efficiency.
A disadvantage is that it may face integration and coordination challenges, cultural differences, and regulatory issues, and it may also face increased competition and resistance from existing stakeholders of the acquired business.
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_____The given question is incomplete, the complete question is given below:
KTF makes building materials, including cement and bricks. Last year KTF had sales of $25bn. KTF's objectives have often changed since it was started 60 years ago. The Managing Director wants KTF to expand. KTF is going to take over one of its main competitors. The newly expanded business will have combined sales of $40bn. The Managing Director said: 'Many stakeholder groups will be affected by this decision. She knows there are many external factors that affect business activity including the business cycle, interest rates and legal controls to protect the environment.
define business cycle.
indentify 2 reasons why business must change its objective.
outline 1 advantage and disvantage of KTE taking over other business.
1. From the environmental analysis to industry analysis?
2. How do strategy implications for the general industry and
competitive analysis?
3. What are the key factors for success in an industry?
4. W
Environmental analysis refers to the process of examining an organization's external and internal environment to determine the factors that impact its performance.
Industry analysis, on the other hand, is the process of analyzing an industry's key players, their behavior, and how they are likely to be impacted by market trends. Environmental analysis is important because it helps organizations to identify their strengths and weaknesses and determine opportunities and threats.
It involves analyzing various factors, including technological, political, economic, and legal factors, and helps an organization to come up with strategies that align with its goals. For instance, technological advances could present opportunities for an organization to improve its processes and come up with innovative products and services.
Similarly, understanding political factors such as government regulations could help an organization to avoid any legal issues that may arise in the course of its operations.Industry analysis, on the other hand, helps organizations to identify the opportunities and threats that exist within an industry.
It involves analyzing the industry's key players, such as suppliers, customers, competitors, and the availability of substitutes, to determine how an organization can compete effectively. It also helps an organization to determine the potential for growth within an industry.
By examining the industry's key trends, an organization can take advantage of opportunities presented by the market while mitigating any potential threats. Overall, environmental analysis and industry analysis are both crucial processes that help organizations to make informed decisions and remain competitive in the market.
By examining these factors, an organization can develop strategies that will enable it to succeed and thrive in its industry.
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I need to submit this today, can you help me?
What are Washington D.C.’s people eating habits?
What are some economic facts about Washington DC?
What are some facts about Washington DC?
Culture and customs of Washington DC?
Travel information (Dubai to Washington DC)?
Answer:
I'm sure they eat well. have u try looking it up on goggle first
3) What is the present value of $1000, received at the end of 4 years of investment, with a discount rate of 4%?
Answer:
$854.81
Explanation:
The formula for calculating the present value is as below
PV = FV/( 1 + r)^n
Where Fv =1000
r = 4% or 0.04
n= 6
PV = $1000/ (1 + 4/100)^4
PV=$1000/(1 + 0.04)^4
PV=$1000/1.16985
PV =$854.81
.
Answer:
3629.9
Explanation:
I just did the test and thats what it told me the correct answer was.
Type the correct answer in the box. Spell all words correctly.
Which form of marketing do firms use when they market their products to all consumers alike, even when not all of them constitute the target audience?
When firms market their products to all consumers alike, even when not all of them constitute the target audience, they exhibit (___?___) marketing.
Answer:
Outbound Marketing is the correct answer
Explanation:
Answer:
outbound marketing - I just took the test this is correct
Explanation:
1) Inflation represents the rate of increase of the average price of goods. If inflation decreases from 10% to 5%, does the average price of goods decrease? Explain.
No, the average price of goods does not decrease when inflation decreases from 10% to 5%.
Inflation represents the rate of increase in the average price of goods and services over time. When inflation decreases, it means that the rate of price increase has slowed down, but it does not imply a decrease in the average price itself. Even with a lower inflation rate, prices can still continue to rise, albeit at a slower pace.
The percentage of inflation indicates the extent of price increase compared to the previous period. If the inflation rate decreases from 10% to 5%, it means that prices are still increasing but at a slower rate. For example, if an item was priced at $100 at the beginning of the year, with a 10% inflation rate, its price would increase to $110. However, with a 5% inflation rate, the price would increase to $105. While the rate of increase has decreased, the average price of goods has not decreased.
Therefore, it is important to differentiate between a decrease in the inflation rate (a decrease in the rate of price increase) and an actual decrease in the average price of goods, which would indicate deflation.
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Your credit score does not affect your:
A. chances of landing a new job.
B. ability to rent an apartment.
C. ability to get a car loan.
D. yearly income.
A persons credit score would not affect the chances that they have to land a new job when they need one.
What is a credit score?This is a number that is used to show that a person is credit worthy. It shows how the person responds to the loans that they owe.
A high credit score shows that the person is one that does what is required on time. A lower one may have negative effects on a person.
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Answer:
D. Yearly Income
Explanation:
What are loans to government and companies? please hellppzz
Answer:
loans for a company is when they pull out more money than they have then using it and it has to be repaid
Explanation:
murnane+and+levy+(1997)+found+that+__________+of+17-year-olds+could+not+read+or+do+math+at+the+level+needed+to+perform+the+types+of+new+jobs+that+are+being+created+today.+50%+35%+20%+5%
According to a study by Murnane and Levy in 1997, 50% of 17-year-olds were unable to read or do math at the level necessary to perform modern jobs.
The study conducted by Murnane and Levy in 1997 found that a significant proportion of 17-year-olds in the United States lacked the basic literacy and numeracy skills needed to perform the types of jobs that were becoming increasingly prevalent in the modern economy.
Specifically, the study found that 50% of 17-year-olds were unable to read or do math at the level necessary to perform these jobs. This represented a major challenge for the education system and policymakers, who were tasked with ensuring that the workforce had the skills necessary to succeed in the modern economy.
Since then, efforts have been made to improve education and training programs to better prepare students for the types of jobs available in the current job market.
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Natalie is balancing her checking account. After comparing the bank statement to her register, she notices that a deposit of $75. 00 made on May 1st is missing from the statement. What is the balance in Natalie’s checking account? $5. 30 $80. 30 $155. 30 $175. 0.
The balance in Natalie's checking account is $155.30.
Natalie noticed that a deposit of $75.00 made on May 1st is missing from her bank statement while balancing her checking account. To calculate the current balance, Natalie needs to add the missing deposit to her bank statement balance. If she had not missed the deposit, her bank statement balance would have been $80.30 ($5.30 + $75.00).
Therefore, by adding the deposit of $75.00 to the bank statement balance of $80.30, Natalie's current balance is $155.30. It is essential to balance a checking account properly to identify any discrepancies and ensure an accurate financial record.
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Suppose that consumers purchase fish and computer chips. In 2010, one pound of fish costs $1, a computer chip costs $1, and the typical consumer buys 10 pounds of fish and 10 computer chips. In 2011, one pound of fish costs $2, a computer chip costs $0.50, and the typical consumer buys 5 pounds of fish and 20 computer chips. In 2012, one pound of fish costs $2.10, a computer chip costs $0.90, and the typical consumer buys 12 pounds of fish and 20 computer chips. Using 2011 as the base year, the inflation rate between 2012 and 2011 is _____ percent.
Answer:
42.5%
Explanation:
The computation of the inflation rate between 2012 and 2011 is shown below:
But before that we need to do the following calculations
Cost of basket for the year 2011 is
= 5 × 2 + 20 × 0.5
= 10 + 10
= 20
And the base year price index i.e. CPI is 100
Now
Cost of same basket in year 2012 is
= 5 × 2.10 + 20 × 0.90
= 10.5 + 18
= 28.5
Now
CPI in 2012 is
= ($28.5 ÷ $20) × 100
= 142.5
So,
Inflation rate is
= (142.5 ÷ 100) - 1
= 1.425 - 1
= 0.425
= 42.5%
Name the choreographic element that encourages dancers to rely on musical cues, visual connections, and emotional phrasing.
The choreographic element that encourages dancers to rely on musical cues, visual connections, and emotional phrasing includes the time, energy, and space
What is the meaning of Choreography?In art, a choreography means the way in which an idea is expressed physically through dance. When developing this concept, the users usually relies on important principles of organization to ensure that the idea takes a clear, appropriate, and aesthetically pleasing form.
These are principles that comprises the basic ingredients for the dancers' movements and patterns and help the choreographer utilize space, express intention and the music, and organize the dancers.
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