Answer:
B. Reducing unemployment
Explanation:
The government, in this case, is using expansionary fiscal policies to create employment. Hiring people to build dams, repair roads, and install power lines leads to an increase in the government's spending in the economy. Consequently, a higher number of people will be working and earning. Increased earnings cause the aggregate demand to rise.
A reduction in business taxes reduces production costs. Businesses will be able to increase production, expand, and hire more workers when the cost of doing business is low.
Es el costo identificado plenamente en el segmento de producción, puede estar asociado a productos o servicios procesados o ejecutados y se transfieren directamente al producto final.
Answer:
Costos directos
Explanation:
El costo directo es aquel en el que se incurre durante la producción de bienes terminados y este costo está directamente asociado con los bienes fabricados. Este costo se agrega al valor de los productos finales terminados y luego se agregan otros costos indirectos y costos fijos a los productos terminados según la tasa de absorción.
How many major OEMs manufacture Class 8 trucks
for the North American market?
Answer:
There are four major OMEs manufacturer trucks for the North American market
is a short-term investment that is considered highly liquid.
a. stock
b. bond
c. cash equivalent
d. mutual fund
Answer:
c. cash equivalent
Explanation:
highly liquid means can be made into cash quickly
Cash equivalent examples are money market funds Treasury bills. Treasury notes. Commercial paper.
in 2008 a problem with money market funds signaled a banking crisis. banks were giving mortgages to people with bad credit histories. on top of that those mortgages were insured so if someone couldn't pay the mortgage the insurers would pay. but at that time there were too many people who couldn't pay mortgages
a. stock is a share of ownership in a company. can't make it into cash unless you sell it.
d. mutual fund : basically a stock of stocks. company gathers money to buy a bunch of different stocks. whole thing is called a portfolio. company sells stocks of that portfolio. those stocks are mutual funds.
b. a bond is basically a loan. bond lasts for a period of time. can't sell it until that period is over. otherwise there is a penalty.
.
hedge funds : the words hedge in hedge means to reduce risk. they make it for people with more money. it combines risky, non risky, long term, & short term investments to hedge or reduce risk.
Under IFRS, what is the appropriate test for impairment of a cash-generating unit (CGU) with goodwill?
Goodwill at the CGU level compared to the sum of the components of goodwill at the next lower organizational level.
The carrying amount of the CGU compared to its fair value.
The carrying amount of a CGU compared to its recoverable amount.
The carrying amount of the CGU's Reporting Unit compared to its fair value.
The appropriate test for impairment of a cash-generating unit (CGU) with goodwill under IFRS is the comparison of the carrying amount of the CGU to its recoverable amount. This involves a long explanation as it is a complex process that requires several steps.
The first step is to identify the CGU, which is the smallest identifiable group of assets that generates cash inflows that are largely independent of the cash inflows from other assets or groups of assets. The second step is to determine the carrying amount of the CGU, which is the amount at which the CGU is recognized in the financial statements. The third step is to estimate the recoverable amount of the CGU, which is the higher of its fair value less costs to sell and its value in use.
If the carrying amount of the CGU exceeds its recoverable amount, then an impairment loss must be recognized. This loss is calculated as the difference between the carrying amount and the recoverable amount and is recognized as an expense in the income statement. However, if the recoverable amount of the CGU exceeds its carrying amount, then no impairment loss is recognized.
It is worth noting that the other options listed in the question are not the appropriate tests for impairment of a CGU with goodwill under IFRS. Comparing goodwill at the CGU level to the sum of the components of goodwill at the next lower organizational level is not an appropriate test as it does not take into account the specific circumstances of the CGU. Comparing the carrying amount of the CGU's reporting unit to its fair value is also not appropriate as it does not focus on the specific assets generating cash inflows.
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Which of these investment classes is likely to have the highest investment income potential?
O Government bonds
O Real estate
O Stocks
O Corporate bonds
O Bitcoin
A project has an initial cost of $75,000, expected net cash inflows of $12,000 per year for 10 years, and a cost of capital of 14%. What is the project's MIRR? (Hint: Begin by constructing a time line.) Do not round intermediate calculations. Round your answer to two decimal places.
The initial cost of the project is a cash outflow of $75,000 at t = 0. The project's MIRR is -9.85%.
Here's how to find out the project's MIRR:
To begin, we need to construct a time line for the project. The line should show the present value (PV) of the expected cash inflows and outflows, with all values at the present time t = 0.
The expected net cash inflows of $12,000 per year are shown as cash inflows in years 1 through 10. The PV of each cash flow is shown below the year number, with all values at t = 0.
Timeline for Project
Year 0: -$75,000
Year 1: $10,526.32
Year 2: $9,226.98
Year 3: $8,085.08
Year 4: $7,077.54
Year 5: $6,184.31
Year 6: $5,387.25
Year 7: $4,670.17
Year 8: $4,019.55
Year 9: $3,424.77
Year 10: $2,876.87
The next step is to calculate the net present value (NPV) of the cash flows, using the project's cost of capital of 14%.
NPV = -$75,000 + $10,526.32 / (1.14)^1 + $9,226.98 / (1.14)^2 + $8,085.08 / (1.14)^3 + $7,077.54 / (1.14)^4 + $6,184.31 / (1.14)^5 + $5,387.25 / (1.14)^6 + $4,670.17 / (1.14)^7 + $4,019.55 / (1.14)^8 + $3,424.77 / (1.14)^9 + $2,876.87 / (1.14)^10= -$75,000 + $10,526.32 / 1.14 + $9,226.98 / 1.2996 + $8,085.08 / 1.4802 + $7,077.54 / 1.6901 + $6,184.31 / 1.9356 + $5,387.25 / 2.223 + $4,670.17 / 2.5596 + $4,019.55 / 2.954 + $3,424.77 / 3.4166 + $2,876.87 / 3.9591= -$75,000 + $9,225.97 + $7,093.27 + $5,461.31 + $4,190.12 + $3,212.80 + $2,476.49 + $1,937.55 + $1,559.98 + $1,324.91 + $1,204.71= $12,997.30
Finally, we can calculate the project's modified internal rate of return (MIRR), which is the rate of return that makes the NPV of the cash inflows equal to the PV of the cash outflows.
MIRR = (FV of positive cash flows / PV of negative cash flows)^(1 / n) - 1= ($12,000 * (1 + 0.14)^10) / -$75,000)^0.1 - 1= (12,000 * 4.3182) / -$75,000)^0.1 - 1= (51,818.40 / -$75,000)^0.1 - 1= -0.0985 or -9.85%
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You are thinking of investing in BIL, Incorporated. You have the following information on the firm at year-end 2021: debt ratio = 0.25 = 25 percent, net income = $6.000,000, and total debt = $20,000,000. What is Bali's ROE for 2021? Hint: Estimate Assets from Debt Ratio; then estimate Equity, and last apply the ROE formula 110.5 percent O 10.0 percent O 11.0 percent O 10.8 percent
BIL, Incorporated's ROE for 2021 is 10%. Option (B) represents the correct answer.
To calculate BIL, Incorporated's return on equity (ROE) for 2021, we need to estimate the equity first. We can use the debt ratio to estimate the assets and then calculate the equity.
Given:
Debt ratio = 0.25 or 25%
Net income = $6,000,000
Total debt = $20,000,000
The debt ratio is the ratio of total debt to total assets. Rearranging the equation, we can estimate the total assets as follows:
Total assets = Total debt / Debt ratio
Total assets = $20,000,000 / 0.25
Total assets = $80,000,000
Next, we can calculate the equity by subtracting total debt from total assets:
Equity = Total assets - Total debt
Equity = $80,000,000 - $20,000,000
Equity = $60,000,000
Now that we have the equity, we can calculate the ROE using the formula:
ROE = (Net Income / Equity) * 100
ROE = ($6,000,000 / $60,000,000) * 100
ROE = 10%
Option B
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determine the unrecovered investment during each of the years involved.
To determine the unrecovered investment during each of the years involved, we need to first understand what unrecovered investment means. Unrecovered investment refers to the initial investment amount that has not been recovered yet through returns or profits.
To calculate the unrecovered investment for each year involved, we need to know the initial investment amount and the returns received in each year. Then, we can subtract the returns received from the initial investment amount to get the unrecovered investment. Let's say an investor invested $50,000 in a business venture and received the following returns in the subsequent years:
To determine the unrecovered investment during each of these years, we can use the following formula: Unrecovered investment = Initial investment amount - Returns received. Therefore, the unrecovered investment during each of the years involved would be $40,000 in year 1, $28,000 in year 2, $13,000 in year 3, and $5,000 in year 4.
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a rightward shift of the traditional phillips curve would suggest that:
A rightward shift of the traditional Phillips curve would suggest that there is a decrease in the correlation between unemployment and inflation. In other words, higher levels of unemployment are associated with lower levels of inflation.
This shift can be caused by a variety of factors, such as changes in the structure of the labor market, technological advancements, or changes in monetary policy. Additionally, a rightward shift of the Phillips curve may also suggest that there is an increase in the natural rate of unemployment, which is the level of unemployment that exists when the economy is at full employment and inflation is stable. Overall, a rightward shift of the Phillips curve indicates a change in the relationship between unemployment and inflation, and has important implications for policymakers and economic analysts.
A rightward shift of the traditional Phillips curve would suggest that there is a change in the relationship between inflation and unemployment in the economy. This shift implies that for a given level of inflation, the unemployment rate is now lower than it was before the shift. This change could be attributed to various factors such as increased productivity, technological advancements, or structural changes in the labor market. Consequently, this rightward shift can lead to a situation where both low unemployment and low inflation can be achieved simultaneously, which is generally considered favorable for economic growth and stability. In summary, a rightward shift of the traditional Phillips curve indicates an improved trade-off between inflation and unemployment, allowing for better overall economic conditions.
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50 POINTS
If (it) management does not "buy-in" to the plan, what might happen?
a. reduce confidence
b. nothing will change
c. increase confidence
d. management will be fired
Answer:
reduce confidence
Explanation:
i got it right on odyssey
Question 2 (1 point)
Kelsi works in a toy manufacturing company assembling small dolls. Her job falls into
the Maintenance, Installation & Repair pathway of the Manufacturing career cluster.
1:) True
2:) False
Who knows about the College called.. IAP ?
Would you guys recommend it, or not?
Because right now, I’m in high school but I’m almost going to graduate. And there’s so many ppl that I know that want to go to community colleges and so I don’t know what to do because what I want to do, you don’t need a degree and the college that I want to go to, you are there part time, either online or in person but the problem is .. how do I know if it’s a scam or not? Because the answer is I don’t. I’ve been wanting to go here because you can get whatever course you want done fast and they help you get the job that you want ASAP, which it’s like 6-12 weeks to complete your courses. And the other reason why I want to go here is because it’s a fair price for each course you want to take. It makes sense though I guess because all of those courses for that college, you don’t need a degree but they help you get the job that you want after you take those courses, and I think that’s cool but.. like I said, I don’t know if it’s a scam or not. That’s why I’m asking on here (lol) because people that I know, family, and my friends, no one knows about this college and I don’t want to get my hopes up knowing if it’s a scam, why even try getting into this college. If I make sense. Hope you guys can help me out. It’ll mean a lot, thank you :) .
Also, I give Brainliest for whoever wants it!
Please no links
PLEASE, In a paragraph of 150 words, Reflect on the critical thinking process and the steps involved. Discuss how this knowledge can or has helped you in your life and/ or your career?
For example, what do you think of the process? What did you learn from the process? Could it bring value to making decisions in your life or career? Would you use it in the future? Would you use it, or parts of it, in your everyday life? Have you used it in your everyday life? Do not write about the case itself, the decision you reached, or what you thought should or should not have happened relating to the case.
The critical thinking process is a systematic and logical approach to problem-solving that involves several steps, including identifying the issue, gathering and analyzing information, evaluating options, and making a decision.
How the critical thinking process helps meThe critical thinking process is a systematic and logical approach to problem-solving that involves several steps, including identifying the issue, gathering and analyzing information, evaluating options, and making a decision. As a person, critical thinking is useful to utilize this process in order to provide the most accurate and relevant responses to questions.
Personally, I find that the critical thinking process is an invaluable tool in both my personal and professional life. It has taught me to approach problems in a more organized and methodical manner, which has allowed me to make more informed and effective decisions.
Additionally, by applying critical thinking to everyday situations, I am better able to identify biases and assumptions and to evaluate arguments and evidence. Ultimately, the critical thinking process has enabled me to become a more analytical and logical thinker, and has provided me with a framework for making better decisions in all areas of my life.
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1. What is the difference between traditional
and market economy?
A traditional economy is based on customs, beliefs, and traditions passed down through generations, where the production and distribution of goods and services are based on what has been done in the past. In contrast, a market economy is based on supply and demand, with prices set through negotiation between buyers and sellers in the marketplace. The production and distribution of goods and services in a market economy are determined by consumer preferences and the laws of supply and demand. In a traditional economy, economic decisions are made by the community or tribal leaders, while in a market economy, individuals make economic decisions based on their own self-interest. Overall, the key difference between traditional and market economies is the way economic decisions are made and the role of customs and traditions in shaping the economy.
In the diagram of a labor market above, what is one way to produce unemployment? Select one: a. Shift the demand for labor to the left. b. Improve job matching websites. c. Have firms pay efficiency w
Shift the demand for labor to the left is one way to produce unemployment.
The given diagram of a labor market depicts the interaction of demand and supply. There are two curves in this diagram. One is the demand curve, which represents the number of workers needed by firms at different wage rates. The other curve is the supply curve, which represents the number of workers willing to work at different wage rates.
There are several ways to produce unemployment in the labor market. Let's discuss them one by one:
Shift the demand for labor to the left:
In the diagram of a labor market, if the demand for labor shifts to the left, it results in a decrease in the equilibrium wage rate from W0 to W1. As a result, the quantity of labor demanded by firms decreases from Q0 to Q1. It causes a surplus of labor (unemployment) in the labor market. Therefore, option A is correct.
Have firms pay efficiency wages:
If firms pay efficiency wages, it encourages workers to work more efficiently. It results in an increase in the supply of labor, and firms demand more workers. So, it decreases the equilibrium wage rate and increases the quantity of labor demanded. Therefore, it will not produce unemployment. Thus, option C is incorrect.
Improve job matching websites:
If job matching websites improve, it will not produce unemployment. In fact, it will increase the efficiency of job search and help job seekers to find suitable jobs. So, option B is incorrect.
Thus, the correct answer is option A. Shift the demand for labor to the left is one way to produce unemployment.
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Which of the following is not a responsibility of the bankruptcy trustee? a) Recover all property belonging to the insolvent company. b) Liquidate common stock of the company. c) Preserve the estate from any further deterioration. d) make distributions to the proper claimants. e) Void preferences made by the debtor within 90 days prior to the filing of the bankruptcy petition if theycompany was already insolvent.
The responsibility of liquidating common stock of the company is not a responsibility of the bankruptcy trustee.
In a bankruptcy case, the bankruptcy trustee is responsible for overseeing the administration of the bankruptcy estate, which includes managing and preserving all assets belonging to the debtor. The trustee's main responsibility is to ensure that all creditors are treated fairly and that the assets of the debtor are distributed in accordance with the Bankruptcy Code.
The trustee is responsible for recovering all property belonging to the insolvent company, preserving the estate from any further deterioration, and making distributions to the proper claimants. The trustee is also responsible for voiding preferences made by the debtor within 90 days prior to the filing of the bankruptcy petition if the company was already insolvent.
However, liquidating common stock of the company is not a responsibility of the bankruptcy trustee. When a company files for bankruptcy, the common stockholders are typically last in line to receive any distributions from the bankruptcy estate after all secured and unsecured creditors have been paid. The trustee may sell the company's assets to generate funds to pay creditors, but selling the common stock of the company is not typically part of the trustee's duties.
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what is the current yield for a $1,000 corporate bond that pays 12 percent and has a current market value of $910?
The current yield for a $1,000 corporate bond that pays 12 percent and has a current market value of $910 is approximately 13.19%.
The current yield is calculated by dividing the annual interest payment by the current market price of the bond. In this case, the bond pays an annual interest of $120 (12% of $1,000), and its current market value is $910. Dividing $120 by $910 results in a current yield of approximately 0.1319 or 13.19%.
This means that an investor who purchases this bond at its current market value of $910 will receive a return of 13.19% on their investment in the form of annual interest payments. It's important to note that the current yield represents the return on investment at the current market price and may not necessarily be the same as the bond's yield to maturity.
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A.j. henry company, maker of high quality flashlights, has experienced steady growth over the last 6 years. however, increased competition has led mr. henry, the president, to believe that an aggressive campaign is needed next year to maintain the company's accountant has presented mr.henry with the following data for the current year, 2021, for use in preparing next year's advertising campaign.
The given information describes the situation of A.J. Henry Company, a flashlight manufacturer, which has experienced consistent growth in the past six years. However, due to increased competition, Mr. Henry, the company president, believes that an aggressive advertising campaign is necessary to sustain the company's growth.
To prepare for the next year's campaign, the company's accountant has provided Mr. Henry with data for the current year, 2021. This data is crucial for assessing the company's performance, identifying areas of opportunity or concern, and formulating an effective advertising strategy for the upcoming year. By analyzing this data, Mr. Henry can make informed decisions to address the challenges posed by increased competition and maintain the company's growth trajectory.To learn more about consistent
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would anyone like to ............ watch anime
Answer:
aot
Explanation:
last episode soon
Economic value added (EVA) analysis indicates: 01. O the number of sales dollars generated by each dollar of capital investment. 2. The amount of income generated by each dollar of capital investment. 3. The amount of increased capital generated by each dollar of income. 4. The percentage of each sales dollar that remains as profit after all expenses are covered. How much shareholder wealth is being created. 5
Economic value added (EVA) analysis indicates How much shareholder wealth is being created.
What is Shareholder?
A shareholder (also known as a stockholder) of a corporation is an individual or legal entity (such as another corporation, a governmental body, a trust, or a partnership) who is registered by the corporation as the legal owner of shares of a public or private corporation's share capital. Members of a corporation may be referred to as shareholders. When a person or legal entity enters their name and other information in the company's register of shareholders or members, they are considered shareholders in the company. Unless otherwise required by law, the corporation is not obligated or allowed to find out who actually owns the shares. In general, a corporation cannot own its own stock.
EVA = Net Operating profit after tax - Operating Capital*Weighted average cost of capital
Hence, EVA indicates how much shareholder wealth is being created.
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What is Word World?
September is National Courtesy Month. What is a synonym for courtesy?
Give two examples of how you show courtesy to other
here is some examples I hope it helps
if you are looking for a vacation near Deep Creek Lake, MD then check this out. its really nice :)
he concept of ______ is probably the best single measure of an industry's impact.A. total outputB. total spendingC. aggregate market value of firms in industryD. value added
The concept of value added is probably the best single measure of an industry's impact. Therefore option D is correct.
What is Industry?An industry is a collection of businesses that are connected by their main lines of activity. There are several categories of industries in contemporary economies. Sectors are often used to combine together bigger groups of industry classifications.
Typically, a company's major income sources determine what industry it belongs to. For instance, even if a carmaker may have a financing segment that contributes 10% to the company's overall earnings, most categorization systems would place the business in the automaker category.
Industries are divisions of related enterprises based on the main product produced or sold. By doing this, industry groupings are successfully formed, which may later be utilized to separate enterprises from those that take part in other activities.
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how does inflation and deflation affect economic growth
Answer:
Inflation affects growth by changing the labor supply and demand, and thus reducing aggregate employment in the sector that is subject to increasing returns. The reduction in the level of employment will reduce the marginal productivity of capital.
If deflation is exacerbated, it can throw an economy into a deflationary spiral. This happens when price decreases lead to lower production levels, which, in turn, leads to lower wages, which leads to lower demand by businesses and consumers, which lead to further decreases in prices.
Elixir Corporation has just filed for bankruptcy. Elixir is a holding company whose assets consist of real estate worth $120 million and 100% of the equity of its two operating subsidiaries. It is financed partly by equity and partly by an issue of $440 million of senior collateral trust bonds that are just about to mature. Subsidiary A has issued directly $360 million of debentures and $19 million of preferred stock. Subsidiary B has issued $200 million of senior debentures and $80 million of subordinated debentures. A's assets have a market value of $520 million, and B's have a value of $244 million. How much will each security holder receive if the assets are sold and distributed strictly according to precedence? (Leave no cells blank - be certain to enter "0" wherever required. Enter your answers in millions.)
According to the order of precedence in a bankruptcy case, the following is the order of distribution of the bankrupt corporation's assets.
Creditors with secured claims are paid first. Creditors with unsecured claims are then paid. Second, preferred shareholders are paid.
Third, common shareholders are paid.
The securities held by Elixir Corporation's shareholders and its two subsidiaries in case of bankruptcy can be calculated as follows:
Debenture and preferred stockholders of Subsidiary A = $379 million
Senior debenture holders of Subsidiary B = $200 million
Subordinated debenture holders of Subsidiary B = $0
Preferred stockholders of Elixir Corporation = $0Common stockholders of Elixir Corporation = $0
Therefore, each security holder will receive the following amounts: Senior collateral trust bondholders = $440 million
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Direction: Fill the missing word/or group of words to complete the following statement.
1. Tools which are made of ________ should be kept clean and sanitized properly
in preparation for the next patron.
2. Empty bottles and containers are _________
in a covered trash bin.
3. Finger bowls must be _________ before use of every client.
4. Table tops and door handles are wiped with ___________
and the floor
should be mopped with disinfectant as well.
5._________ wastes should be disposed off as recommended by local
authority.
help me please, I need answers now
Answer:
explanation
Explanation:
steel
always
washed
cloth
plastic?
Anas wants office space financing from an Islamic banking institution. The IFI is concerned that it will be unable to sell the unit at the end of the usage period. Which type of finance should be proposed to Anas?
a. Determining the appropriate Islamic financial Instruments and [3 Marks]
b. Evaluate one of the risks and the risks mitigate [3 Marks]
The appropriate Islamic financial instruments that should be proposed to Anas, who wants office space financing from an Islamic banking institution, can be either Ijarah or Murabaha.
Murabaha is a cost-plus financing arrangement, which is commonly used in the Islamic banking and finance sector. The bank purchases the asset at the request of the client and then sells it to the client for a higher price, which includes a profit margin. Anas can pay for the asset in installments according to the repayment terms that have been agreed upon. Meanwhile, Ijarah, also known as lease financing, is the most popular Islamic financial instrument. It involves the sale of the right to use an asset for a certain period at an agreed-upon rate. The bank or lessor maintains ownership of the asset, and the lessee (Anas in this case) pays rental fees.
One of the risks involved in Islamic banking is credit risk, which occurs when a borrower defaults on their payment obligations. Credit risk is the possibility that the borrower or counterparty may not be able to meet their contractual obligations, and that the lender will incur losses as a result. Banks must take measures to control the risk, such as conducting credit checks, monitoring credit ratings, and diversifying their loan portfolios. Islamic banking has a unique way of mitigating credit risk: the bank's involvement in the investment. This is why Islamic banks are not allowed to lend money; instead, they engage in profit-and-loss-sharing (PLS) arrangements. Because the bank shares the risk with the client, there is an incentive for the bank to conduct proper due diligence before entering into an investment. If the investment fails, the bank also incurs losses, which is a form of mitigation.
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Where can i withdraw money from my emerald card for free
You can withdraw money from your Emerald Card for free at various locations, including MoneyPass ATMs and Walmart MoneyCenters.
The Emerald Card is a prepaid debit card offered by H&R Block for tax refunds and other financial services. When it comes to withdrawing money from your Emerald Card, there are several options available. One of the most convenient and cost-effective ways is to use MoneyPass ATMs. MoneyPass is a network of ATMs that offer surcharge-free withdrawals for Emerald Cardholders. By using a MoneyPass ATM, you can avoid paying additional fees for your cash withdrawals.
Another option for free withdrawals is Walmart MoneyCenters. Many Walmart locations have MoneyCenters where you can withdraw money from your Emerald Card without incurring any fees. These MoneyCenters provide a range of financial services, including check cashing and money transfers.
However, it's important to note that there may be fees associated with certain transactions or when using ATMs outside of the designated network. Non-network ATMs may charge their own surcharge fees, which would be separate from any fees imposed by H&R Block or the Emerald Card. It's recommended to review the terms and conditions of your Emerald Card and check for any applicable fees before making withdrawals to ensure you are aware of any potential charges.
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each listed stock option contract gives the holder the right to buy or sell shares of stock. each listed stock option contract gives the holder the right to buy or sell shares of stock. 10 100 1000 1
The correct statement is:
Each listed stock option contract gives the holder the right to buy or sell 100 shares of stock.
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after real estate has been foreclosed by the county because of a delinquent real estate tax lien, the owner has a right to:
The owner of real estate has the right to redeem the property within the statutory redemption term once the property has been foreclosed by the county due to an unpaid real estate tax lien.
Everything you own that's also connected to a parcel of land and is a type of tangible estate is real estate. It frequently includes all of the property's resources, including water and minerals, and it can be applied for domestic, business, or industrial purposes. Examples include solitary homes, condominiums, partnerships, duplexes, townhomes, and multiple structures. The Latin word "real" implies "existent and true." As contrast to personal property, such as clothing or furniture, real is used in Middle English to refer to immovable property (i.e., a house, building, or structure) in a legal setting. Speaking generally, the meme refers to real estate or any space that is "free" or empty.
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