1) Reactor organization have design characteristics may shift abruptly depending on current needs. Therefore, the correct option is A.
2) Analyzer organization have balances efficiency and learning; tight cost control with flexibility and adaptability. Therefore, the correct option is B.
3) Defender organization have emphasis on production efficiency, low overhead. Therefore, the correct option is C.
4) Prospector organization have learning orientation, flexible, fluid, decentralized structure. Therefore, the correct option is C.
5) Differentiation strategy is distinguishes products or services from others in the industry. Therefore, the correct option is D.
According to Miles and Snow's Strategy Typology:1) Reactor organizations have design characteristics that may shift abruptly depending on current needs. This means that they adapt their structure and strategy based on the immediate demands of their environment, making them less predictable and consistent in their approach.
2) Analyzer organizations have a balance of efficiency and learning, with tight cost control combined with flexibility and adaptability. This means that they focus on being efficient in their operations while also being open to learning and adapting to changes in their environment.
3) Defender organizations have an emphasis on production efficiency and low overhead. This means that they prioritize keeping costs low and focusing on the efficiency of their operations, often at the expense of innovation or adaptability.
4) Prospector organizations have a learning orientation, with a flexible, fluid, and decentralized structure. This means that they value creativity, risk-taking, and innovation, and are able to adapt quickly to changes in their environment.
5) Differentiation strategy is when a company distinguishes its products or services from others in the industry. This means that they create unique offerings that set them apart from their competitors, often allowing them to charge a premium price or attract a niche market segment.
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Donald is a business development executive in a big retail company based in Omaha. His company now wants to expand and has sent Donald as their representative. Donald is also authorized to deal and negotiate with different vendors directly and in his own capacity. What role is Donaldplaying as per the contract law?
Answer:
C. Agent
Explanation:
Agent Law- the agent deals with third parties on behalf of the company in a contract and the company defines the control an agent can exert
Question 2: Wharton or Rutgers MBA? See appendix articled
Given: You are 23 years old, you consider to choose a two year MBA program, then you plan to work for 40 years and then retire. You will borrow at Rate Z (specified below) the whole cost of the program at the MBA graduation date (at age 25) . You will make $125K per annum in all years of your working life if you graduate from Wharton MBA or $X per annum if you graduate from Rutgers MBA.
Wharton has a total program cost of $140K; Rutgers has an in-state total program cost of $50K and an out-of-state total program cost of $85K
Q 2.1 In the table below calculate which program is financially better for you if you live in NJ;
X
Borrowing Rate Z
Borrowing Rate Z
Borrowing Rate Z
5%
10%
15%
115
100
90
Q 2.2 Now which program is financially better if you live outside of NJ
X
Borrowing Rate Z
Borrowing Rate Z
Borrowing Rate Z
5%
10%
15%
115
100
90
Wharton is financially better if you live in NJ. If you live in NJ, the in-state cost for Rutgers MBA is $50K and the total program cost for Wharton MBA is $140K. Borrowing Rate Z is the interest rate at which you will borrow the whole cost of the program at the MBA graduation date.
Borrowing at rate Z, the interest paid on a loan of $50K will be: At 5%: $4,752.76At 10%: $10,205.44At 15%: $17,207.21The interest paid on a loan of $140K will be: At 5%: $13,267.09At 10%: $28,492.28 At 15%: $47,942.18Total earnings over 40 years of work: $125K x 40 years = $5M. Therefore, the net earning will be $5M - the cost of the MBA program - interest paid.
The following table shows the net earnings for each school: Borrowing Rate Z Rutgers - Net Earnings Wharton - Net Earnings Financially Better?5% $4,947,246.24 $4,863,672.91 Rutgers10% $4,800,342.56 $4,662,809.72 Rutgers15% $4,621,753.79 $4,427,648.65 Rutgers Therefore, if you live in NJ, Rutgers is financially better if the interest rate is less than or equal to 15%.
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Suppose you are eating nachos. The total utility after the fourth, fifth, sixth, and seventh nachos are, respectively, 50, 86, 106, and 120. The marginal utility of the sixth nacho is
The overall utility after the fourth, fifth, sixth, and seventh nachos is 50, 86, 106, and 120, respectively. The marginal utility of the sixth nacho is 20.
The marginal utility of the sixth nacho is the additional utility or satisfaction gained by consuming the sixth nacho, compared to consuming the fifth nacho.
To calculate the marginal utility, we can use the formula:
Marginal Utility = Total Utility (n) - Total Utility (n-1)
where n is the nacho number in question.
So, the marginal utility of the sixth nacho is:
Marginal Utility = Total Utility (6) - Total Utility (5)
= 106 - 86
= 20
Marginal utility is a fundamental concept in economics that refers to the additional satisfaction or utility gained from consuming one additional unit of a good or service. It is based on the principle of diminishing marginal utility, which states that as more units of a good are consumed, the additional satisfaction gained from each additional unit will eventually decrease.
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if you spend money you work for, are you taking out money from the economy?
The invisible hand ensures that economic prosperity is distributed equally. True or False
The statement '' The invisible hand ensures that economic prosperity is distributed equally '' is false. The invisible hand does not ensure that economic prosperity is distributed equally.
The invisible hand is an economic concept that was coined by Adam Smith in his book, The Wealth of Nations, to describe the self-regulating behavior of the marketplace that helps to ensure that everyone’s needs and interests are met.
The concept of the invisible hand is that when individuals pursue their own economic self-interest, the market will automatically allocate resources efficiently, resulting in an equilibrium that benefits society as a whole. However, this does not necessarily mean that economic prosperity is distributed equally.
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You are choosing the color scheme for a Web page. Which color is considered the color of extremes and is used to capture attention, and to indicate danger and anger? A: Green B:Red C: yellow D: purple thank you<3
Answer:
Red
Explanation:u
Red is the color of extremes. It's the color of passionate love, seduction, violence, danger, anger, and adventure.
The red color is associated with the extremes and is used to attract attention, as well as to symbolize danger and wrath, and this is the color scheme of the web page.
What is a web page?A web page is a simple document that a browser may display.
HTML is the language used to create such documents (which we look into in more detail in other articles).
A web page can contain a number of resources, such as style information, which controls the look and feel of the page.
The red color represents the extremes. This color is connected with passionate love, seduction, aggression, danger, rage, and adventure.
Therefore, option B is correct.
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Personal Financial
Literacy
Answer:
You would have to answer this because I dind't read the story.
Explanation:
Student loan forgiveness is available to students who perform public
service after graduating from college.
True or false?
2. Optimal Portfolio: Edgar has three assets he can invest in: A risky stock with an expected return of 11% and a standard deviation of 14%, a risky bond with an expected return of 7.5% and a standard deviation of 9%, and a riskless bond with a return of 5%. The risky stock and risky bond have a coefficient of correlation of 0.31. a. 15 points. What is the expected return and standard deviation of the optimal risky portfolio? b. 15 points. What percentage of his money should Edgar put into each of these three investments if his coefficient of risk aversion is 3.4? c. 15 points. In the context of these models, what does a weight of less than 0 mean? What does a weight of more than 1 mean? What obstacles might you run into in the real world if you tried to build a portfolio with weights of less than 0 or greater than 1?
a. The expected return and standard deviation of the optimal risky portfolio cannot be determined without information on the investor's risk preferences and the risk-free rate.
b. The percentage allocation of funds to each investment depends on the investor's coefficient of risk aversion, but without that information, the specific weights cannot be calculated.
c. Weights less than 0 imply short selling or borrowing, while weights greater than 1 indicate leverage. Building portfolios with such weights can be challenging due to regulatory constraints, margin requirements, liquidity limitations, and increased risk.
a. To calculate the expected return and standard deviation of the optimal risky portfolio, we need to use the concept of portfolio diversification and the principles of modern portfolio theory. The optimal portfolio is determined by finding the combination of risky assets that provides the highest expected return for a given level of risk.
- Risky stock: Expected return = 11%, Standard deviation = 14%
- Risky bond: Expected return = 7.5%, Standard deviation = 9%
- Riskless bond (risk-free asset): Return = 5%
We also know the correlation coefficient between the risky stock and risky bond, which is 0.31.
To find the optimal portfolio, we need to consider the risk preferences of the investor. However, without information on the investor's risk preferences or the risk-free rate, we cannot determine the specific weights and expected return of the optimal portfolio.
b. To determine the percentage of money Edgar should allocate to each investment, we need to use the concept of the investor's coefficient of risk aversion. The coefficient of risk aversion measures an investor's willingness to bear risk.
A coefficient of risk aversion of 3.4, we can calculate the optimal portfolio weights using the Capital Allocation Line (CAL) equation:
Weight of risky stock = (Expected return of risky stock - Risk-free rate) / (Coefficient of risk aversion * Variance of risky stock)
Weight of risky bond = (Expected return of risky bond - Risk-free rate) / (Coefficient of risk aversion * Variance of risky bond)
The weight of the riskless bond will be the remainder (1 - weight of risky stock - weight of risky bond).
c. In the context of portfolio weights:
- A weight of less than 0 means that the investor has a short position or has borrowed money to invest, which implies selling assets they don't own. This is not common in traditional investment portfolios and is more associated with advanced trading strategies or derivatives.
- A weight of more than 1 means that the investor has leveraged their investment by borrowing money to invest more than their available capital. This amplifies both potential gains and losses.
In the real world, building a portfolio with weights less than 0 or greater than 1 can be challenging due to practical limitations and constraints. Some obstacles include:
- Regulatory constraints: Many investment regulations limit the extent of leverage and short selling activities.
- Margin requirements: Borrowing funds to invest usually involves margin requirements and additional costs.
- Availability of borrowing and lending opportunities: It may be difficult to find lenders or borrowers for certain assets or in certain market conditions.
- Increased risk and potential losses: Leveraging investments magnifies both gains and losses, leading to higher risk exposure and potential financial challenges if the investments perform poorly.
- Market liquidity: Trading large positions or engaging in short selling may be constrained by the liquidity of the underlying assets.
Overall, portfolio weights less than 0 or greater than 1 deviate from conventional investment practices and are typically associated with more sophisticated investment strategies and specialized trading approaches.
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internal auditors review all aspects of operations in search of improvement, as well as review the internal control structure to determine if they are operating as expected. group of answer choices true false
Internal auditors review all aspects of operations in search of improvement, as well as review the internal control structure to determine if they are operating as expected
This statement is true.
An internal auditor (IA) is a qualified professional who works for a company to give unbiased, independent assessments of all aspects of the company's financial and operational operations, including corporate governance.
They are responsible for making sure businesses adhere to rules and laws, follow correct procedures, and operate as effectively as feasible.
An internal auditor (IA) is a qualified expert tasked with conducting unbiased assessments of the financial and operational business operations of a corporation.
They are used to make sure businesses operate effectively and adhere to proper processes. Senior management receives final reports that may also contain recommendations.
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Let’s try to understand why the airline industry is so concentrated (i.e., an oligopolistic industry dominated by a small number of firms).a. How has U.S. antitrust policy influenced the concentration of the airline industry?b. How does the cost structure of operating an airline influence the concentration of the industry?
a. Deregulation in 1978 allowed for consolidation, and mergers/acquisitions have reduced competition.
b. High fixed costs and economies of scale make it difficult for smaller firms to enter, while larger firms can achieve cost advantages.
a. U.S. antitrust policy has played a significant role in shaping the concentration of the airline industry. In the 1970s, the Civil Aeronautics Board (CAB) regulated airfares and entry into the industry, which limited competition and allowed the major airlines to operate in a largely oligopolistic market.
However, in 1978, the Airline Deregulation Act abolished the CAB and eliminated government control over routes and pricing, which led to increased competition and lower fares. Nevertheless, the major airlines still have significant advantages over new entrants, such as established brands, extensive route networks, and economies of scale. Additionally, mergers and acquisitions have allowed the major airlines to consolidate and reduce competition.
b. The cost structure of operating an airline is a major factor in the concentration of the industry. Airlines have high fixed costs, such as purchasing and maintaining aircraft, and also face significant regulatory and security costs. Therefore, airlines that operate at higher levels of capacity utilization have a cost advantage over those that operate at lower levels of utilization.
As a result, airlines that have significant market share and extensive route networks can offer more frequent and convenient flights, which attracts more customers and further consolidates their market power. This makes it difficult for smaller airlines or new entrants to compete on price or convenience.
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if interest rate parity does not hold, and the forward ____ is greater than the interest rate differential, then covered interest arbitrage is feasible for investors residing in the ____ country.
If interest rate parity does not hold and the forward exchange rate is greater than the interest rate differential, then covered interest arbitrage is feasible for investors residing in the country with the higher forward exchange rate.
Interest rate parity is an economic principle that suggests that the difference in interest rates between two countries should be equal to the percentage difference between their respective forward exchange rates. However, if interest rate parity does not hold and the forward exchange rate is greater than the interest rate differential, a profitable opportunity for covered interest arbitrage arises. Covered interest arbitrage involves borrowing funds in a country with a lower interest rate, converting them into the currency of a country with a higher interest rate, and investing them in that country to take advantage of the interest rate differential. In this scenario, investors residing in the country with the higher forward exchange rate can borrow at a lower interest rate, convert their funds into the currency of the country with the lower forward exchange rate, invest them there at a higher interest rate, and then convert the investment back at the forward exchange rate, earning a profit.
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How important is money
Answer:
very important
Explanation:
money is a global income source for everyone. we all have different types but it is all still money. now say one country got rid of money and had people pay for stuff using other things. if china did that lots of different countries wouldn't be able to get stuff from there unless they had so much of that product they could just give it up.
based on behavioral characteristics 80% of sales come from 20% of customers.
True
False
Answer:
true
Explanation:
which ratio change provides good news about a company? multiple choice question. a decrease in assets-to-equity ratio a decrease in the net profit margin ratio an increase in debt-to-equity ratio an increase in the net profit margin ratio
Option 3rd is correct. An increase in an increase in debt-to-equity ratio (leverage ratio) change is good news for the company.
The Debt to Equity (D/E) ratio is used to assess a company's financial leverage and is calculated by dividing the company's total debt by its equity. The D/E ratio is an important key figure in corporate finance. This is a measure of the extent to which a company finances its operations with debt rather than with its own funds.
Leverage is a special kind of leverage. The Debt to Equity (D/E) ratio compares a company's total debt to equity and can be used to assess a company's dependence on debt.
Debt-to-equity ratios vary by industry and are best used to compare direct competitors or measure a company's dependence on debt equity over time.
For similar companies, higher D/E ratios indicate higher risk, but especially low ones may indicate that the company is not using leverage to expand. Investors often change the D/E ratio to include only long-term debt, as it is riskier than short-term debt.
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commercial banks hold deposits and
If all applicants for a job can do the job successfully, we say the equals 100 percent.
a. Selection ratio
b. Base rate
c. Validity
d. Utility rate.
The correct phrase to use to describe a situation in which all job candidates are capable of performing the job satisfactorily is "b. Base rate."
The base rate is the percentage of a population that has the skills or knowledge required to successfully do a certain task or employment. In this case, if all applicants are successful in performing the work, it indicates that the base rate is 100%, showing that every applicant pool member satisfies the requirements and is qualified to do the job.The number of job vacancies to applicants is referred to as the selection ratio (a), which represents the degree of competitiveness for the post. Validity (c) is concerned with the reliability and potency of a choice.
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Analyse the implications to Mr Flake’s business if: In May and June Mr Flake fell ill and he had to pay somebody else £1200 a month to run the business as well as himself? Answer: He received 6 more party bookings for September?
Answer:
1. Paying somebody else and himself represent cash outflow.
2. Party bookings represents forecasted cash inflow.
Explanation:
Remember, a cash flow shows where money is coming from into the accounts of a business and where money goes to from the accounts of the business. Inflows represent credit transactions into the business account, while the outflows represents debit transactions to external sources.
Thus, paying somebody else £1200 a month to run the business as well as himself (Mr Flake) both represents outflow of cash from his ice-cream business. But the 6 more party bookings for September represents cash inflows since he will be receiving a pay from the clients.
While Ella was driving to campus, she noticed a billboard
with a girl wearing the same designer jacket she'd seen
a celebrity magazine she was reading over lunch. When she
picked up her mail that day, she had a flyer for 30% off at a
store that displayed the same jacket.
If Ella bought the jacket, would it be a good purchase at 30% off? Why or why not?
If Ella bought the jacket at 30% off, whether it would be a good purchase depends on factors like her budget, personal style, and need for a new jacket.
While she did see the jacket advertised in two separate places, it's important to consider a few factors before making a purchase. First, Ella should ask herself if she truly needs the jacket. Is it something she'll wear often and get good use out of? Or is it just an impulse buy because she saw it advertised? Second, she should consider the quality of the jacket and if it's worth the price, even with the discount. If it's poorly made and won't last long, it may not be worth the purchase even with the discount.
Additionally, it's important for Ella to compare prices at other stores to ensure she's getting the best deal. While 30% off may seem like a great discount, it's possible that other stores may offer the jacket at a lower price even without a discount. In summary, while the 30% off discount may be tempting, it's important for Ella to consider her actual need for the jacket, the quality of the item, and to compare prices at other stores before making a purchase.
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Which of the following programs completes similar functions as those completed by Microsoft® Publisher?
options:
a)Microsoft Access
b)Microsoft Outlook
c)Microsoft PowerPoint
d)Microsoft Word
Answer:
it is D) Microsoft word
Explanation:
Because Microsoft Publisher is a graphic design application that is similar to Microsoft Word but differs in the fact that its emphasis lies more on page layout and design, and less on word composition and formatting.
hope this helps!!! o(〃^▽^〃)o
The programs completes similar functions as those completed by Microsoft® Publisher.
What is Microsoft word?Microsoft word serves as a program that is used in educational area in writing documents.
It is been owned by Microsoft and it can be used in different field even for research purposes.
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thanks to computers, the international flow of money has become
Thanks to computers, the international flow of money has become more efficient, faster, and accessible.
Computers have revolutionized the way financial transactions are conducted globally. Here are some key ways in which computers have impacted the international flow of money:
Speed and Efficiency: Computers enable rapid processing and execution of financial transactions. With the use of electronic payment systems, such as wire transfers, online banking, and electronic fund transfers (EFTs), money can be transferred across borders quickly and efficiently.
Accessibility: Computers and the internet have made financial markets and services more accessible to a broader range of individuals and businesses. Online banking, trading platforms, and digital payment systems have allowed people from different parts of the world to engage in cross-border transactions, access international markets, and manage their finances conveniently.
Global Connectivity: Computers have enhanced connectivity among financial institutions, allowing for seamless communication and coordination of financial activities across borders. This connectivity facilitates the movement of money between different countries and enables real-time access to international markets, exchange rates, and financial information.
Risk Management and Compliance: Computers and advanced software systems have improved risk management and compliance measures in international finance. Automated systems can monitor transactions, detect suspicious activities, and ensure compliance with anti-money laundering (AML) and know-your-customer (KYC) regulations. This helps prevent fraud, money laundering, and other illicit financial activities in the global financial system.
Overall, computers have greatly improved the efficiency, accessibility, and transparency of the international flow of money, making global financial transactions more seamless and enabling economic integration on a global scale.
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which of the following is the best use for an emergency fund
Answer:
Replace an appliance that breaks unexpectedly.
Answer:
Replace an appliance that breaks unexpectedly.
Explanation:
give one example of economic activity and non economic activity
Net present value involves discounting an investments
A. Liabilities
B. Costs
C. Assets
D. Future cash flows
E. future profits
Discounting an investment's liabilities results in net present value.
A collection of cash flows that occur at different periods in time are referred to by the terms net present value (NPV) and net present worth (NPW). The present value of a cash flow depends on how long it will be before it occurs. Another element is the discount rate. The temporal value of money is considered by NPV. It provides a mechanism to evaluate and compare financial products or capital investments with cash flows that are spread over time, such as loans, investments, insurance contract payouts, and many more uses. The temporal value of money states that time affects the value of cash flows. For instance, a lender might pay 99 cents with the understanding that they will get $1 in a month.
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in hootsuite's promote feature what are automation triggers used for
In Hootsuite's Promote feature, automation triggers are used to automatically identify and boost high-performing social media content. These triggers work by setting specific criteria, such as engagement metrics, which determine when a post should be promoted. This allows for an efficient and streamlined promotion process, ensuring that your best-performing content reaches a larger audience.
Some examples of how automation triggers can be used in Hootsuite's Promote feature:
Social Media Engagement: Automation triggers can be set up to automatically respond or engage with users who interact with your promoted content on social media. For instance, you can set a trigger to send a customized message or reply to users who comment on your promoted posts.Lead Generation: Triggers can be utilized to capture leads or customer information. When a user takes a specific action, such as clicking a link or filling out a form in response to your promoted content, an automation trigger can capture that information and store it for further follow-up.Event-based Promotions: Automation triggers can be set to launch promotional campaigns based on specific events or triggers. For example, you can schedule a promotion to start automatically when a particular hashtag is used or when a new blog post is published.Scheduled Promotions: Triggers can be used to automatically schedule promotions at specific times or dates. This allows you to plan and execute your promotional activities in advance without manual intervention.Workflow Automation: Automation triggers can integrate with other systems or tools to streamline your promotional workflows. For instance, you can set up a trigger to automatically post content on social media platforms when a new blog post is published on your website.Overall, automation triggers in Hootsuite's Promote feature provide the ability to automate various aspects of your promotional campaigns, saving time and improving efficiency.
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Automation triggers in Hootsuite's Promote feature are used to automatically promote posts based on specified performance criteria. This helps to simplify and maximize the marketing process.
Explanation:In Hootsuite, the Promote feature incorporates automation triggers to streamline their marketing efforts. Automation triggers in Hootsuite Promote are designed to automatically promote content based on predetermined criteria. For example, these criteria could be related to a post's performance, such as the amount of views or likes they get within a certain timeframe. Once these parameters or 'triggers' are met, Hootsuite will automatically promote that specific content, making it easier for businesses to maximize the visibility and reach of their high-performing posts without constant monitoring.
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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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What do Investors use the income statements of organizations for?
Investors use income statements of organizations to calculate ____
1. Financial statements
2. Financial journals
3. financial ratios
such as the business's operating margin, and
1. Turnover ratio
2. Profit Margin
3. ROA
Answer:
financial ratios and profit margins
Explanation:
In the past, the principal goal of the U.S. Forest Service was to make available our national forest to timber and logging companies. True False
True. In the past, one of the principal goals of the U.S. Forest Service was to make national forests available for timber harvesting and logging operations.
In the past, the U.S. Forest Service did prioritize making national forests available for timber and logging companies. This approach was rooted in a historical perspective that emphasized economic utilization of forest resources for timber production. The Forest Service granted logging permits and facilitated timber extraction as a means to support economic growth, create jobs, and meet the demand for wood products.
However, over time, there has been a shift in the Forest Service's goals towards a more balanced and sustainable approach that includes considerations for conservation, ecosystem management, recreational opportunities, and protection of biodiversity. This shift reflects a broader recognition of the value of forests beyond purely economic exploitation.
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When do stakeholders have the most influence on a project?
tax-deferred retirement plans are a type of: group of answer choices exemption. itemized deduction. passive income. tax shelter. tax credit.
Tax-deferred retirement plans are a type of tax shelter. It is because in the tax-deferred savings plan, a taxpayer is being postpone paying income taxes on the money invested.
In economic and business, A tax-deferred savings plan generally can be defined as an investment account that allows a taxpayer to postpone paying income taxes on the money invested until it is withdrawn, generally after retirement. There are some example of tax-deferred savings plan, the most well known tax-deferred savings plan are individual retirement accounts (IRAs) and 401(k) plans. While Tax shelters generally can be defined as a ways individuals and corporations reduce their tax liability.
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