1-Credit Union - C
2-IRA - G
3-Bond
4- Stock-D
5-Divided-
6-liquidity
7- Now account
8-CD

Answers

Answer 1

All the financial terms definition is:

1. Credit union: An organization that provides banking services to its members cooperatively.

2. Individual Retirement Accounts, or IRAs, are a sort of retirement savings account that may offer tax benefits.

3. Bond: A fixed-income investment in which a buyer borrows money to a borrower in exchange for regular interest payments and the repayment of the original investment's principle.

4. Stock: Equity or ownership shares that indicate a stake in a company's assets and profits.

5. Dividend: A payment made to shareholders from a company's earnings.

6. Liquidity: The capacity of an asset or investment to be quickly turned into cash without suffering considerable value loss.

7. A sort of interest-bearing bank account that permits frequent withdrawals is known as a NOW Account, or Negotiable Order of Withdrawal Account.

8. A time deposit given by banks with a fixed period and fixed interest rate until maturity is known as a certificate of deposit (CD).

All the terms are the related to the financial management. It was the easy to understand. It was the following terms are the definition are the aforementioned.

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Your question is incomplete, but most probably the full question was.

Write all the financial terms definition?

1-Credit Union 2-IRA3-Bond4- Stock5-Divided6-liquidity7- Now account8-CD

Related Questions

According to the video, what tasks are commonly performed by Farmworkers instead of by machines? Select three
options.
weeding
Opruning
preparing soil
transplanting
planting

Answers

Answer:

A: weeding

B: pruning

D: transplanting

Explanation:

trust me i just did it

enjoy :)

Which of the following defines long-term liabilities? Multiple choice question. Long-term liabilities are debts of a business that are not due to be settled within one year. Long-term liabilities are obligations due to be paid within one year. Long-term liabilities are reported before current liabilities on a classified balance sheet. Long-term liabilities are costs incurred within an accounting period that have uncertain benefits.

Answers

Answer:

Long-term liabilities are debts of a business that are not due to be settled within one year (A) is your answer

Explanation:

your welcome

The correct option is A. Long-term liabilities are debts of a business that are not due to be settled within one year which defines long-term liabilities.

In a part that might include debentures, loans, deferred tax liabilities, and pension obligations, long-term liabilities are listed in the balance sheet following more current liabilities.

What are short liabilities?

Legal responsibilities that surface after receiving goods or services are known as short-term liabilities. Short-term liabilities in accounts of the governmental fund type are paid from current, readily available resources. Short-term liabilities in proprietary fund type accounts are debts due in less than a year.

Obligations that are due in more than a year's time, or within the operating cycle of the company if that cycle is longer than a year, are considered long-term liabilities. The length of time needed to convert an organization's inventory into cash is known as its operational cycle.

Thus, A is the best choice. The definition of long-term liabilities is obligations owed by a company that is not due to be paid off within one year.

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is published once a year and provides stockholders with details about the company’s performance and financial condition.

Answers

An annual statement of cash flows that details the company's performance and financial position is distributed to stockholders.

Which annual description statement or report gives shareholders information on the performance and financial health of the company?

A thorough report outlining a company's operations for the previous year is called an annual report. Its objective is to give users information about the business's activities and financial performance, such as shareholders or potential investors.

Which financial statement from the list below shows owner's equity at the conclusion of the accounting period?

At the end of the reporting period, a balance sheet provides a picture of a company's assets, liabilities, and shareholders' equity. It does not display the inflows or outflows.

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Best practices of a standard costing systems suggest that a company should use ideal standards in order to challenge employs to do their best work. this statement is:_______

Answers

This statement is true. Best practices of a standard costing system recommend the use of ideal standards to challenge employees to do their best work. Ideal standards are predetermined levels of performance that a company sets as targets for its employees.

These standards represent the most efficient and effective ways of performing tasks and achieving desired outcomes. By using ideal standards, companies motivate their employees to improve their performance and strive for excellence. Ideal standards create a benchmark against which employees can measure their own performance and identify areas for improvement. When employees are challenged to meet these standards, they are more likely to push themselves to do their best work.

Using ideal standards also allows companies to set realistic performance goals and expectations. These standards are based on the assumption that employees have the necessary resources, skills, and knowledge to achieve them. By aligning performance expectations with these ideal standards, companies can encourage employees to continuously improve their skills and abilities. In summary, the use of ideal standards in a standard costing system can motivate employees to perform at their best by providing clear targets for performance and creating a culture of continuous improvement.

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HELP PLEASE!!!!


In general, reducing the monthly payment (P) of a credit card but keeping the interest rate (i) and present value (PV) the same will __________.


a. decrease the number of periods (n) needed to pay off the debt

b. increase the number of periods (n) needed to pay off the debt

c. eliminate the number of periods (n) needed to pay off the debt

d. have no effect on the number of periods (n) needed to pay off the debt


The answer is B. Just took the test

HELP PLEASE!!!! In general, reducing the monthly payment (P) of a credit card but keeping the interest

Answers

Answer:

B. ¯\_(ツ)_/¯ᵐᵃʸᵇᵉ cause yeah

Reducing the monthly payment (P) of a credit card but keeping the interest rate (i) and present value (PV) the same will increase the number of periods (n) needed to pay off the debt.

What is an Interest rate?

Interest is paid by a borrower and this is the amount of money that is added to the money borrowed.

Interest is usually recovered with the money borrowed in bits and the rate or amount is determined by the lender.

There is a given period to pay a loan depending on the amount borrowed the more you pay the lesser the time of repayment.

Therefore, reducing the monthly payment (P) of a credit card but keeping the interest rate (i) and present value (PV) the same will increase the number of periods (n) needed to pay off the debt.

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You have become a trusted resource for your organization, and they have asked for your advice on gaining a competitive advantage in the field. More specifically, they would like your analysis and recommendations on ways to bring their company culture, demographics, and technologies up to current industry practices and beyond. Review the demographic and technological information about your company. If the information is not public, base your decisions on a similar company and research. This information will assist you as you complete your Organizational Presentation in Step 2 of this assessment.

Answers

Improving company culture, demographics, and technologies can contribute to gaining a competitive advantage.

To enhance company culture, it is essential to foster an environment that values employee engagement, collaboration, and innovation.

This can be achieved through initiatives such as promoting open communication channels, encouraging continuous learning and professional development, recognizing and rewarding employee achievements, and creating a diverse and inclusive workplace culture.

In terms of demographics, it is important to have a workforce that reflects the diversity of the customer base and target market. This can be achieved through targeted recruitment and hiring practices, implementing diversity and inclusion programs, and providing equal opportunities for career growth and advancement.

Regarding technology, staying up to date with current industry practices and adopting cutting-edge technologies can give your organization a competitive edge. This may include investing in cloud computing, data analytics, artificial intelligence, automation, and digital transformation initiatives.

It is crucial to regularly assess technological needs, conduct market research, and invest in training and development to ensure employees have the necessary skills to leverage these technologies effectively.

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You shorted a call option on Intuit stock with a strike price of $38. When you sold (wrote) the option, you received $6. The option will expire in exactly three months' time. a. If the stock is trading at $52 in three months, what will your payoff be? What will your profit be? b. If the stock is trading at $35 in three months, what will your payoff be? What will your profit be? c. Draw a payoff diagram showing the payoff at expiration as a function of the stock price at expiration. d. Redo c, but instead of showing payoffs, show profits.

Answers

a. The profit will be $8 since the initial premium received for writing the option is not refunded. b. The profit will be the premium received at the beginning, which is $6. c. Intuit stock with a strike price of $38. d. When the stock price is less than $44, zero at $44, and negative when the stock price is greater than $44.

a. The payoff for the call option on Intuit stock with a strike price of $38 and sold for $6, with the stock trading at $52 in three months will be $(52 - 38 - 6) = $8 per share. The profit will be $8 since the initial premium received for writing the option is not refunded.

b. If the stock is trading at $35 in three months, the payoff will be $0 since the option is out of the money. The profit will be the premium received at the beginning, which is $6.

c. The payoff diagram of a short call option on Intuit stock with a strike price of $38 is shown below.

d. The profit diagram of the short call option is shown below. This shows the profits as a function of the stock price at expiration. It can be seen that the profits will be positive when the stock price is less than $44 ($38 + $6), zero at $44, and negative when the stock price is greater than $44.  Therefore, if the stock price moves upward, the profit will be limited, but if the stock price moves downward, the losses could be unlimited.  The maximum profit that can be made is the premium received, and the maximum loss can be very high if the stock price goes up significantly.

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When a corporation or government wishes to borrow money from the public on a long-term basis, it usually does so by issuing or selling debt securities that are generically called.

Answers

When a corporation or government wishes to borrow money from the public on a long-term basis, it usually does so by issuing or selling debt securities that are generically called bonds.

In the field of business, a bond can be described as an agreement that shows a loan that is given to a borrower. A corporation or government is the borrower in a bond and the public is the loan provider.

Debt securities are used for making bonds by the corporation or government.

If an interest needs to be made along with the borrowed money, then bond coupons are used.

The formation of binds in businesses helps lenders to get back their money on the set date. It also helps in making the borrowing and lending process easier as all terms and conditions are mentioned when a bond is made.

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The following data are available for Sampson Corporation.

Net income $200,000
Depreciation expense 60,000
Dividends paid 90,000
Loss on sale of land 15,000
Decrease in accounts receivable 30,000
Decrease in accounts payable 45,000

Net cash provided by operating activities is:
A. $160,000.
B. $140,000.
C. $260,000.
D. $240,000.

Answers

The answer is c 260,000

The Net cash provided by operating activities is $260,000. Thus, option C is correct.

What is operating activities?

Operating activities include everything a firm does on a regular basis to bring its products and services to market. Non-operating activities are one-time occurrences that may have an impact on sales, costs, or cash flow but are not part of the company's regular, core activity.

Given that,

Net income =  $200,000Depreciation expense = 60,000Dividends paid = 90,000Loss on sale of land = 15,000Decrease in accounts receivable =  30,000Decrease in accounts payable = 45,000

So, the Net cash provided by operating activities is computed by using the following formula.


Net cash provided by operating activities = Net income + Depreciation + loss on land + decrease in receivables - decrease in payables

= $200,000+ 60,000+ 15,000+30,000- 45,000

= $260,000

Thus, $260,000 is the Net cash provided by operating activities Therefore, it can be concluded that option C is correct.

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T/F: The connection between a tax-paying entity and a government is called jurisdiction

Answers

The statement is false. The connection between a tax-paying entity and a government is not called jurisdiction.

Jurisdiction refers to the authority or power of a government, court, or other legal entity to exercise control over a specific territory or subject matter. It determines which laws and regulations apply to individuals or entities within a particular geographic area or for a specific purpose.

The connection between a tax-paying entity and a government is typically referred to as a taxpayer-government relationship or a tax obligation. It is based on the legal framework established by the government to collect taxes from individuals, businesses, or organizations within its jurisdiction.

Taxation is a fundamental way for governments to generate revenue to fund public services and infrastructure. The taxpayer-government relationship is governed by tax laws, regulations, and administrative procedures that outline the rights and obligations of both parties.

While jurisdiction is a concept related to the authority of a government, the connection between a tax-paying entity and a government is not called jurisdiction. It is more accurately described as a taxpayer-government relationship or a tax obligation, which operates within the framework of tax laws and regulations established by the government.

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Interview a business owner in your local community on the negative impact of crime on his/her business and provide evidence of the interview.​

Answers

It’s not surprising when the business owner makes it sound like the local community doesn’t have a high crime rate. But when it does we must ask ourselves. How can this change? Well first how good is the security? Are their security camera’s? And how easy would it be for a criminal to walk into the business?

Which of the following is a correct statement of one of the rules for converting net income to the cash flow from operating activities using the indirect method? a. Increases in current liabilities are added to net income. b. Increases in current assets are added to net income. c. Decreases in current assets are subtracted from net income. d. All noncash expenses and losses are subtracted from net income. e. None of the above

Answers

Option c, which states that decreases in current assets are subtracted from net income when converting net income to cash flow from operating activities using the indirect method. This is because a decrease in current assets indicates that cash has been used to pay off those assets, resulting in a decrease in cash flow.

The indirect method of converting net income to cash flow from operating activities involves adjusting net income by adding or subtracting non-cash items and changes in current assets and liabilities. Increases in current liabilities are added to net income because they represent an increase in cash flow, while increases in current assets are subtracted because they represent a decrease in cash flow.

All noncash expenses and losses are also added back to net income because they do not represent an outflow of cash. However, the specific rule mentioned in the question pertains to current assets and requires a decrease in those assets to be subtracted from net income. Therefore, option c is the correct statement of this rule. Option d is a common mistake because noncash expenses and losses are added back, but this is not the specific rule being asked about in the question. Option e is incorrect because one of the statements is correct.

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compare and contrast reference theory of meaning and idea theory of meaning

compare and contrast reference theory of meaning and idea theory of meaning

Answers

Explanation:

Reference theory of meaning is a philosophical thought that believes the meaning of a word or acronym is doing in what it points out in the world. But the idea theory of meaning feels the meaning of a word or acronym lies in the group it represents.

For example, the meaning of the term would be seen as relating to illnesses and viruses as well as number of years from the point of view of idea theory of meaning. While the reference theory of meaning would allude the meaning using proper reference to the illness (Coronavirus) that caused the disease.

According to the segment, when is career testing most effective?.

Answers

According to the segment career testing is most effective when it is When it is guided by a trained career counselor.

What is career testing?

These are assessments that are done to determine the skills that a person has for future jobs.

Career testing is very important for determining the core skills of a person and their soft skills. A counselor is very effective in helping out here:

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Which of the following students is most likely to receive a merit-based scholarship?

A.

a student from a low-income family

B.

a student with a delinquency record

C.

a student from a political family

D.

a student with a high academic score

E.

a student from a middle-income family

Answers

The answer is D a student with a high academic score

Answer:

D

Explanation:

who here from K12? (sorry for asking this question)

Answers

Answer:

Explanation:

Answer:

Not I.

Explanation:

This is just constructive criticism, but I don't recommend listing your school here.

what political change causes winston to work ninety hours a week

Answers

In George Orwell's novel 1984, the political change that causes Winston to work ninety hours a week is the implementation of the new work policy by the Party.

The Party's slogan, "War is Peace, Freedom is Slavery, Ignorance is Strength," is enforced through various policies including the new work policy. The aim of the policy is to keep the citizens of Oceania busy with work, leaving no time for dissent or independent thought.

Winston is forced to work long hours as a clerk in the Ministry of Truth, erasing any historical records that contradict the Party's narrative. This change in the political landscape and the strict control exercised by the Party is the reason for Winston's grueling work schedule.

The political change that causes Winston to work ninety hours a week in George Orwell's "1984" is the unexpected increase in hostilities between Oceania and its enemy, Eurasia.

This sudden shift leads to a higher demand for revised historical records, causing Winston to work extended hours at the Ministry of Truth to meet the increased workload.

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A deed conveyed the NE 1/4 of Section 18 and the NW 1/4 of Section 20, Are these parcels contiguous? How many acres were conveyed?

Answers

The parcels in question are the NE 1/4 of Section 18 and the NW 1/4 of Section 20. To determine if these parcels are contiguous, we need to consider their location within the grid system.

Parcels are considered contiguous if they share a common boundary or corner. In this case, the NE 1/4 of Section 18 is located directly south of the NW 1/4 of Section 20. Since they share a common boundary along their north-south edges, these parcels are contiguous. As for the number of acres conveyed, each section in the grid system contains 640 acres, and since both parcels are 1/4 sections, each parcel contains 640 acres * 1/4 = 160 acres. Therefore, the total number of acres conveyed in the deed is 160 acres (NE 1/4 of Section 18) + 160 acres (NW 1/4 of Section 20) = 320 acres.

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The Business Administration A.S. degree indicates that one may choose from the following CST courses: CST 100, CST 110, CST 126, or CST229. How does one determine the difference between the courses and the best course to take

Answers

To determine the difference between the courses and the best course to take one has to D) Review the course descriptions and check with the transfer institution regarding the recommended CST course...

What is a CST course?

A CST course is a Communication Studies course, which is essential for a Business Administration degree major.

Communication Studies enable degree holders to become sought-after by employers.  They are necessary for producing and influencing messages in public, personal, and professional life.

Answer Options:

A) Review the course descriptions in the college catalog or college website.

B) Choose the first course listed; it is always the best choice.

C) Check with the transfer institution to determine the recommended CST course to take at NOVA that will transfer to the four-year college for that major.

D) Review the course descriptions and check with the transfer institution regarding the recommended CST course for that major and pick the course that will satisfy both NOVA's and the four-year college's requirements.

Thus, to determine the difference between the courses and the best course to take one has to D) Review the course descriptions and check with the transfer institution regarding the recommended CST course...

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fox autos is known for its affordable and reliable brand of consumer vehicles. because its shareholders expect to see an improved rate of growth in the coming years, fox's executives have decided to diversify the company's range of products so that at least 35 percent of the firm's revenue is generated by new business units. however, the company's resources, capabilities, and competencies are limited to producing other forms of motorized vehicles, such as motorcycles and all-terrain vehicles (atvs). which type of corporate diversification strategy should fox pursue?

Answers

Concentric diversification tries to market new items in industries that the company already operates in and that are connected. The objective is the same, but the format is different.

The hamburgers that include toys in their packets serve as an illustration of this. It is a product unrelated to food, but it also more successfully draws a certain demographic of customers. In this instance, the clients are young people. The business that adopts a vertical diversification strategy.

Bets on the development of goods that it previously purchased on the market. It happens, for instance, when a commercial distribution company decides to expand into manufacturing. You can discuss backward integration when retailer integrates with the manufacturer or forward integration, depending.

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All economies are technically mixed.
A. True
B. False

Answers

Answer:

True

Explanation:

Every economy in the real world regardless of their common designation (such as capitalism, socialism, or communism) make use of both markets and governments and is technically a mixed economy. ... Governments force allocation through involuntary taxes, laws, restrictions, and regulations.

Answer:

yes

Explanation:

I just know it hope it helps bro

Which statement is a consequence of objectivism? Group of answer choices Moral rules apply in all cases, without exceptions. Whether an action is objectively right depends on its consequences. If two people have a moral disagreement, only one of them can be right. Everyone has the same beliefs about morality.

Answers

Answer:

B. Whether an action is objectively right depends on its consequences

Explanation:

Ayn Rand developed the theory of Objectivism. Objectivism according to her is the philosophical idea, that every thing people do, be it the pursuit of education or financial security is done simply for the purpose of preserving the human life. This theory promotes selfishness over altruism. It also advocates realism. Every other thing people do is supposed to conform to that which is the fact.

This theory also opines that if our philosophy of life is correct or right, then we would be successful. But if our philosophy of life is wrong, then the consequences would be inimical.

what are the four steps to designing marketing channels in their correct order?

Answers

The four steps to designing marketing channels in their correct order are 1. Analyzing customer needs, 2. Setting channel objectives, 3. Identifying and evaluating channel alternatives and 4. Selecting and managing channel partners.

1. Analyzing customer needs: The first step involves understanding your target audience's requirements, preferences, and expectations. This helps in tailoring your marketing channel strategy to effectively reach and serve your customers.

2. Setting channel objectives: Based on customer analysis, set specific goals for your marketing channels. Objectives can include factors like product availability, customer service, pricing, and overall channel efficiency.

3. Identifying and evaluating channel alternatives: Research and analyze different channel options, such as direct selling, wholesalers, retailers, and online platforms. Evaluate each alternative based on its ability to meet your objectives, reach target customers, and offer competitive advantages.

4. Selecting and managing channel partners: Choose the most appropriate channel partners that align with your objectives and complement your business strategy. Establish clear expectations, roles, and responsibilities, and monitor their performance to ensure consistent and effective channel management.

In summary, designing marketing channels involves understanding customer needs, setting objectives, evaluating alternatives, and selecting and managing channel partners to create an effective distribution strategy that meets your customers' expectations and business goals.

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On January 1,2022 , Blue Corporation issued $1,830,000 face value, 5%,10 - year bonds at $1,695,310. This price resulted in an effective-interest rate of 6% on the bonds. Blue uses the effective-interest method to amortize bond premium or discount. The bonds pay annual interest January 1 Your answer is correct. Prepare the journal entry to record the issuance of the bonds on January 1, 2022. (Round answers to 0 decimal places, e.g. 125. Credit account titles are automatically indented when amount is entered. Do not indent manually.) Attempts: 1 of 3 used Prepare the journal entry to record the accrual of interest and the amortization of the discount on December 31, 2022. (Round answers to 0 decimal places, e.g. 125. Credit account titles are automatically indented when amount is entered. Do not indent manually.) Attempts: 0 of 3 used

Answers

Journal entry to record the issuance of the bonds on January 1, 2022: Account Titles Debit Credit Cash$1,695,310. Bond Premium$165,690. Bonds Payable$1,830,000.

Explanation: The journal entry is required to record the issuance of the bonds on January 1, 2022. The market value of the bond is calculated using the effective-interest rate of 6 percent. The bonds are issued at $1,695,310, resulting in a premium of $165,690 ($1,830,000 − $1,695,310).

The entry debits cash and bond premium and credits bonds payable for the face value of the bonds plus the bond premium. To record the issuance of bonds, the following journal entry is made: On January 1, 2022, the company issued $1,830,000 in bonds at a price of $1,695,310.

As a result, the bond premium is $165,690, which is calculated as follows: $1,830,000 - $1,695,310 = $134,690.The journal entry for the issuance of the bonds is as follows: Cash$1,695,310.00 Bond premium$165,690.00 Bonds payable$1,830,000.00

To record the bond issuance, the company credits the cash account for the amount received and debits the bond premium account for the premium amount. Finally, it credits the bonds payable account for the face value of the bonds and the premium.

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Which tree organization is responsible for 90% of the world trade?

Answers

90% of all trade is regulated by the World Trade Organization (WTO).

What exactly does the WTO do?

The World Trade Organization (WTO) is the sole international body responsible for enforcing international trade regulations. Its major objective is to ensure that trade proceeds as smoothly, reliably, and freely as possible. Geneva, Switzerland, home to the WTO's headquarters, is a special location with numerous missions to the WTO from the United Nations and other organizations.

Who is in charge of the WTO?

Governments from the WTO's members run it. All significant decisions are taken by the entire membership, whether it be through the ministers, their ambassadors, or representatives.

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Which statement regarding credit cards is true?
O Similar to a debit card, use of a credit card causes an immediate withdrawal from your linked bank account.
O Unlike a debit card, use of a credit card leads to a balance owed to the creditor that you must pay like a bill.
O similar to installment credit, a credit card requires you to pay a fixed monthly amount for use of the card.
OUnlike installment credit, a credit card must be secured by some form of physical collateral before using it.

Answers

Answer:

The second statement is true.

Explanation:

Unlike a debit card, which is linked to your bank account and causes an immediate withdrawal when you use it, a credit card allows you to borrow money from the credit card issuer to make purchases. This leads to a balance that you owe to the creditor, which you must pay back like a bill. The other statements are false. A credit card does not cause an immediate withdrawal from your bank account, and it does not require you to pay a fixed monthly amount or collateral to use it.

"Unlike a debit card, use of a credit card leads to a balance owed to the creditor that you must pay like a bill." This statement regarding credit cards is true. Option (b) is correct.

What do you mean by Withdrawal ?

Withdrawal is the act of withdrawing something that has been granted or is in one's possession.

A credit card enables you to borrow money from the credit card provider in order to make purchases, as opposed to a debit card, which is connected to your bank account and results in an immediate withdrawal when you use it. As a result, you owe the creditor a balance that you must settle just like a bill. The other claims are untrue. A credit card can be used without immediate withdrawals from your bank account, a set monthly payment, or any kind of security deposit.

Therefore, Option (b) is correct. Unlike a debit card, use of a credit card leads to a balance owed to the creditor that you must pay like a bill.

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The RMC Corporation blends three raw materials to produce two products: a fuel additive and a solvent base. Each ton of fuel additive is a mixture of 2/5 ton of material 1 and 3/5 ton of material 3. A ton of solvent base is a mixture of 1/2 ton of material 1, 1/5 ton of material 2, and 3/10 ton of material 3. RMC’s production is constrained by a limited availability of the three raw materials. For the current production period, RMC has the following quantities of each raw material: material 1, 20 tons; material 2, 5 tons; material 3, 21 tons. Management wants to achieve the following P1 priority level goals:
Goal 1: Produce at least 30 tons of fuel additive.
Goal 2: Produce at least 15 tons of solvent base.
Assume there are no other goals.
Is it possible for management to achieve both P1 level goals given the constraints on the amounts of each material available?
Raw Material Amount needed to Achieve Both P1 Goal
Treating the amounts of each material available as constraints, formulate a goal programming model to determine the optimal product mix. Assume that both P1 priority level goals are equally important to management. If you don't need the variable in the model, enter "0". If you need a negative number, enter minus sign with it. If necessary, enter the numbers as a common fraction.
Let x1 = the number of tons of fuel additive produced
x2 = the number of tons of solvent base produced
d1+ = the amount by which the number of tons of fuel additive produced exceeds the target value of 30 tons
d1- = the amount by which the number of tons of fuel additive produced is less than the target of 30 tons
d2+ = the amount by which the number of tons of solvent base produced exceeds the target value of 15 tons
d2- = the amount by which the number of tons of solvent base is less than the target value of 15 tons

Answers

Answer:

Goal 1: Produce at least 30 tons of fuel additive.

Goal 2: Produce at least 15 tons of solvent base.

Explanation:

To formulate the goal programming model, we need to set up the objective function and the constraints based on the given information. Let's define the decision variables and the deviation variables:

Decision variables:

Let x1 = the number of tons of fuel additive produced

Let x2 = the number of tons of solvent base produced

Deviation variables (amount by which the goals are exceeded or not met):

Let d1+ = the amount by which the number of tons of fuel additive produced exceeds the target value of 30 tons

Let d1- = the amount by which the number of tons of fuel additive produced is less than the target of 30 tons

Let d2+ = the amount by which the number of tons of solvent base produced exceeds the target value of 15 tons

Let d2- = the amount by which the number of tons of solvent base is less than the target value of 15 tons

Objective function:

Since both goals are equally important, we want to minimize the total deviations from the target values. The objective function is the sum of these deviations:

Minimize: Z = d1+ + d1- + d2+ + d2-

Constraints:

Material 1 constraint: The total material 1 used in producing fuel additive and solvent base cannot exceed the available 20 tons of material 1.

2/5 * x1 + 1/2 * x2 <= 20

Material 2 constraint: The total material 2 used in producing solvent base cannot exceed the available 5 tons of material 2.

1/5 * x2 <= 5

Material 3 constraint: The total material 3 used in producing fuel additive and solvent base cannot exceed the available 21 tons of material 3.

3/5 * x1 + 3/10 * x2 <= 21

Fuel additive production goal constraint: The fuel additive production should be at least 30 tons.

x1 + d1+ - d1- = 30

Solvent base production goal constraint: The solvent base production should be at least 15 tons.

x2 + d2+ - d2- = 15

Non-negativity constraints:

x1, x2, d1+, d1-, d2+, d2- >= 0

Now we have the complete goal programming model. The objective is to minimize the total deviations (d1+, d1-, d2+, d2-) from the target values while satisfying the material constraints and the production goals. The model can be solved using standard optimization techniques such as linear programming to find the optimal production mix.

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Harry, harriet, and horance operate the triple h used car lot as a general partnership. pursuant to their agreement, each drives a triple h vehicle to and from work, makes various business trips about the city either from home or the lot, and keeps a "for sale" sign displayed in the vehicle’s windshield. each car is for sale at all times of the day and night and at any location. one afternoon, harriet was driving on a business trip when her car collided with one driven by paine, who was seriously injured. harriet’s conduct was found to be criminally negligent. in a tort action by paine against harry, harriet, and horance, both as individuals and as the triple h partnership, who is liable?

Answers

In this situation, all three partners, Harry, Harriet, and Horance, as well as the Triple H partnership, would be liable for the damages caused by Harriet's criminally negligent conduct.

1. In a general partnership, all partners are jointly and severally liable for the actions of the other partners that occur within the scope of the partnership's business.
2. Harriet's actions were within the scope of the partnership's business since she was driving a Triple H vehicle for a business trip and displaying the "for sale" sign in the windshield, as agreed by the partnership.
3. Even though Harriet's conduct was found to be criminally negligent, the liability extends to all partners and the partnership because the actions took place within the scope of the business.

Therefore, Paine can bring a tort action against Harry, Harriet, and Horance as individuals, and against the Triple H partnership, for the injuries caused by Harriet's negligence.

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according to the u.s. bureau of labor statistics, the leading causes of death in a workplace are falls, transportation accidents, and:

Answers

In the United States, 40% of workplace fatalities are caused by transportation-related incidents.

How many people are killed and injured at work each year in the United States?

Employers in private industry reported 2.6 million cases of illness and injury in 2021, a decrease of 1.8% from 2020.In 2021, there will be 2.2 million cases of injury, up 6.3% from the previous year, while there will be 365,200 cases of illness.

How should employers encourage employees to eat healthy and exercise at work?

Gyms in the area should receive materials from employers to promote healthy eating and exercise in the workplace. If an employee is hurt on the job, they can get paid. If employees work more than the allotted number of hours, their employers are obligated to compensate them for overtime.

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Which of the following nonverbal signals can you use to indicate interest and enthusiasm?

A. Fidgeting

B. Crossing your arms

C. Making eye contact

D. Sitting at a distance

Answers

C.....................

C. Making eye contact

Have a great day!

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