policy makers announce that the federal minimum wage will increase to $15 an hour over the next 10 years by annual increases of $0.78. this will cause

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Answer 1

Policy makers announce that the federal minimum wage will increase to $15 an hour over the next 10 years by annual increases of $0.78. This will cause the Phillips curve will shift upward.

What do you mean by Policy?

A policy is an official decision made by a group of people, a commercial organization, the government, or a political party about a certain course of action.

The National Minimum Wage would increase to $15 per hour by 2025 under the Raise the Wage Act of 2021, thereby eradicating earnings that are below the poverty line. According to this analysis, the rise is long overdue and would have a positive impact on both the economy and workers.

Therefore, Policy makers announce that the federal minimum wage will increase to $15 an hour over the next 10 years by annual increases of $0.78. This will cause the Phillips curve will shift upward.

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Related Questions

Banks do not hold a lot of their assets in the form of cash mainly because of:
a. regulation.
b. the fear of being robbed.
c. the opportunity cost of holding cash, cash does not earn interest.
d. it can encourage employee theft.

Answers

Banks do not hold a lot of their assets in the form of cash mainly because of  the opportunity cost of holding cash, cash does not earn interest.  The correct option is C.

Opportunity costs are the possible advantages that a person, investor, or company forgoes while deciding between two options. It is necessary to weigh the advantages and disadvantages of each choice offered in order to correctly assess opportunity costs.

The interest that could have been made if the cash had been used to buy bonds instead is the opportunity cost of keeping any money balance.

Therefore, due to the  opportunity cost of holding cash and cash does not earn interest banks does nor prefer to hold a lot of their assets in the form of cash .

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Sue wants to work as a chemical engineer for either a large corporation or the government. What would you advise her to
do while she is earning her bachelor's degree to gain some real-world experience in the field of chemical engineering while still earning
college credits ?

a) Apply for a cooperative education experience, through her university, at a company or an agency that will provide her real work
experience in her field of study

b) Study hard and wait until she earns her degree to get experience

c) Take a job on campus working in the office typing papers for engineering professors

d) Take a part-time job working nights at a pharmacy

Answers

Answer:

A

Explanation: The most common reason tbh.

Answer: A

And just trust

what kind of sugar is primarily used in preparing icing?​

Answers

Answer:

granulated sugar

Explanation:

powdered sugar or confectioner's sugar is finely ground granulated sugar that is mixed with a small amount of cornstarch to prevent caking.

which one of the following is not an integral part of the managerial process of crafting and executing strategy? A. strategic vision for a company B. Developing a proven business model C. Developing a strategic vision

Answers

Choosing a strategic intent is not an integral part of managerial process of crafting and the executing strategy.

What is strategic intent?

Strategic intent refers to a clear and concise vision that outlines a company's long-term goals and objectives. It helps organizations align their efforts and focus their resources in a unified direction to achieve a common purpose. Strategic intent is a statement of what an organization wants to be, what it wants to achieve, and how it plans to achieve its objectives. It sets the tone for the company's overall direction and provides a clear roadmap for decision-making and resource allocation. Strategic intent acts as a guiding principle that helps organizations stay focused on their priorities and maintain their competitive advantage. It is a critical aspect of successful organizational strategy and provides a clear sense of direction for employees, stakeholders, and customers.

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What does DuPont analysis measure?

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DuPont analysis is a financial analysis technique that is used to assess a company's overall financial performance and the efficiency of its use of assets. It breaks down a company's return on equity (ROE) into its three main components, which are: net profit margin, asset turnover, and financial leverage.

DuPont analysis is named after the DuPont Corporation, which first used the technique in the 1920s. It is a useful tool for investors, analysts, and other stakeholders who want to gain a deeper understanding of a company's financial performance, beyond just its ROE.

To perform a DuPont analysis, a company's ROE is calculated, and then the following equation is used to determine the three components of the ROE:

ROE = net profit margin x asset turnover x financial leverage

The net profit margin measures the company's profitability, or how much of its revenue is left over as profit after all expenses have been paid. The asset turnover measures how efficiently the company uses its assets to generate revenue, and financial leverage measures the amount of debt the company has relative to its equity.

By analyzing these three components, a DuPont analysis can provide insights into areas where a company can improve its financial performance. For example, if the analysis shows that the net profit margin is low, it may indicate that the company needs to focus on improving its pricing strategy or reducing its expenses. If the asset turnover is low, it may indicate that the company could improve its efficiency by streamlining its operations or investing in new technology.

In conclusion, DuPont analysis is a financial analysis technique that measures a company's return on equity by breaking it down into its three main components: net profit margin, asset turnover, and financial leverage. By analyzing these components, a DuPont analysis provides insights into a company's financial performance and areas where it can improve.

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A new smali business wants to know if its current radio advertising is effective. The owners decide to look at the mean number of customers who make a purchase in the sore on days immediately following days when the radio ads are played as compared to the mean for those days following days when no radio advertisements are played. They found that for 13 days following no advertisements, the mean was 23.9 purchasing customers with a standard deviation of 1.9 customers. On 6 days following advertising the mean was 24.7 purchasing customers with a standard deviation of 1.6 customers. Test the claim, at the 0.01 level, that the mean number of customers Who make a purchase in the store is lower for days following no advertising compared to days following advertising. Assume that both populations are approximately normal and that the population variances are equal. Let days following no advertisements be Population 1 and let days following advertising be Pogustion 2 Step 2 of 3 : Compute the value of the test statistic. Round your answer to three decimal places.

Answers

The test statistic value is -1.111, indicating a difference in mean customer purchases between days with no advertising and days with advertising.

To test the claim, we compare the mean number of purchasing customers on days following no advertising (Population 1) to the mean on days following advertising (Population 2). We are given the sample means, standard deviations, and sample sizes for both populations.

Step 1: Hypotheses

The null hypothesis (H0) states that there is no difference in the mean number of customers making a purchase between the two populations. The alternative hypothesis (Ha) states that the mean number of customers making a purchase is lower for days following no advertising compared to days following advertising.

Step 2: Test Statistic

To compute the test statistic, we use the formula:

t = (mean1 - mean2) / sqrt((s1^2/n1) + (s2^2/n2))

where mean1 and mean2 are the sample means, s1 and s2 are the sample standard deviations, and n1 and n2 are the sample sizes.

Substituting the given values into the formula, we get:

t = (23.9 - 24.7) / sqrt((1.9^2/13) + (1.6^2/6))

 ≈ -1.111

Step 3: Conclusion

To determine if the test statistic is statistically significant, we compare it to the critical value from the t-distribution table at the 0.01 level of significance. If the test statistic is less than the critical value, we reject the null hypothesis in favor of the alternative hypothesis.

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Jay asks his friends for advice: "Should I start doing mobile banking now that I've got my new smart phone?" Which friend is correct in their statement on the benefits of mobile banking?

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The benefits of mobile banking include Convenience, time saving,  Easy to monitor, Bank on the go and many more.

What is mobile banking?

Mobile banking is the act of making financial transactions on a mobile device (cell phone, tablet, etc.). Advantages to mobile banking include the ability to bank anywhere and at any time.

Mobile banking typically uses an app that is provided by the financial institution for this purpose. Mobile banking is available on a 24-hour basis and is often dependent on the availability of an internet or data connection to the mobile device.

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You've learned that the sooner you begin investing for your retirement, the more likely you are to achieve the financial goals you've set for yourself when you're finished working full time. Consider the following two scenarios. Round your answers to the nearest dollar. Fast approaching middle age, Don, age 50, decided to start his investment plan this year by putting away $2,800 every year until he retires at 65. He will invest this money in a bond mutual fund that yields an average rate of return of 6%. Fast approaching middle age, Jago, age 45, decided to start his investment plan this year by putting away $2,800 every year until he retires at 65. He will invest this money in a bond mutual fund that yields an average rate of return of 6%. According to Appendix A-3 (Future Value of a Series of Equal Amounts) in your text, the compounding factor is 23.2760. According to Appendix A-3 (Future Value of a Series of Equal Amounts) in your text, the compounding factor is 36.7856. Based on the information provided, how much will Don have when he retires at 65? Based on the information provided, how much will Jago have when he retires at 65? Since Jago started his investment program five years earlier than Don, and invested a total of during those extra years, at age 65, Jago will have accumulated $ Don. more than What factors contributed to the difference between Jago's and Don's balances? Check all that apply. O Their annual contributions Their total contributions Their retirement ages Compounding interest

Answers

Don will have $120,880 when he retires at 65, while Jago will have $156,798. Since Jago started his investment program five years earlier than Don, and invested a total of $14,000 during those extra years, at age 65, Jago will have accumulated $35,918 more than Don. The factors that contributed to the difference between Jago's and Don's balances are their total contributions and compounding interest.

The total contributions made by each individual played a role in the difference. Jago contributed $14,000 more in total compared to Don due to starting five years earlier and making annual contributions of $2,800.

Furthermore, compounding interest also played a significant role in the difference. Jago's investments had an extra five years to compound and grow, resulting in a higher accumulation. The compounding factor of 36.7856 for Jago, compared to 23.2760 for Don, demonstrates the impact of compounding interest over time.

Therefore, the factors that contributed to the difference between Jago's and Don's balances are their total contributions and compounding interest.

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Plz help me I’ll make u the brainliest ( I promise)

Plz help me Ill make u the brainliest ( I promise)

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Suppose Monique is willing to pay up to $15,000 for a used Ford pick-up truck. If she buys one for $12,000, her economic ______ would be ______.

Answers

Because Monique is willing to pay $12,000 for the pick-up truck, her economic surplus would be $3,000 if she buys for that amount instead of $15,000.

What is an economic surplus?

This refers to the gain obtained by a buyer after they purchase a product for a price that is less than the initial price.

Hence, the word "surplus" and "$3,000" is correct.

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what is meant by added value

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Answer:

Added value is that value which helps us to find or prove the given equation or question.

2.Problem second On Thursday nights, a local restaurant has a pasta special. Ari likes the restaurant's, pasta and his willingness to pay for each serving is shown in the accompanying table:
Quantity of Pasta: 1, 2, 3, 4, 5, 6.
Willingness to Pay: $10, 8, 6, 4, 2, 0.
a. If the price of a serving of pasta is $4.00, how many servings will Ari buy? How much consumer surplus does he receive?
b. The following week, Ari is back at the restaurant again, but now the price of a serving of pasta is $6.00. By how much does his consumer surplus decrease compared to the previous week?
c. One week later, he goes to the restaurant again. He discovers that the restaurant is offering an "All You Can Eat" special for $25. How much pasta will Ari eat, and how much consumer surplus does he receive now?
d. Suppose you own the restaurant and Ari is a typical customer. What is the highest price you can charge for the "All You Can Eat" special, and still attract customers? Annotations

Answers

Ari will buy 3 servings of pasta.

His consumer surplus decreases to zero compared to the previous week.

Since consumer surplus cannot be negative, Ari does not receive any consumer surplus in this scenario.

The highest price the restaurant can charge is $10 for the "All You Can Eat" special and still attract customers like Ari.

a. If the price of a serving of pasta is $4.00, Ari will buy 3 servings of pasta. To determine this, we compare Ari's willingness to pay with the price:

Ari's willingness to pay for 1 serving is $10, which is higher than the price of $4. Therefore, he will buy 1 serving.

Ari's willingness to pay for 2 servings is $8 (the next highest value), which is higher than the price of $4. He will buy an additional serving.

Ari's willingness to pay for 3 servings is $6 (the next highest value), which is equal to the price of $4. He will buy one more serving since his willingness to pay is equal to the price.

To calculate the consumer surplus, we need to find the area between the willingness to pay curve and the price line for the quantity of pasta Ari buys. In this case, Ari buys 3 servings.

Consumer surplus = [(Willingness to pay - Price) * Quantity]

Consumer surplus = [($10 - $4) + ($8 - $4) + ($6 - $4)] * 3 = ($6 + $4 + $2) * 3 = $12 * 3 = $36

b. If the price of a serving of pasta is now $6.00, Ari's willingness to pay is not sufficient to buy any servings of pasta. Since his highest willingness to pay is $6, which is equal to the price, he will not purchase any servings.

c. If the restaurant offers an "All You Can Eat" special for $25, Ari will consume as much pasta as he desires until he is satisfied. Since his willingness to pay for 4 servings is $4, which is less than the price of $25, Ari will eat 4 servings of pasta.

Consumer surplus = [(Willingness to pay - Price) * Quantity]

Consumer surplus = ($10 - $25) * 4 = (-$15) * 4 = -$60

d. To determine the highest price the restaurant can charge for the "All You Can Eat" special while still attracting customers, we need to find the price at which Ari's willingness to pay becomes equal to the price. Based on the given table, Ari's highest willingness to pay is $10.

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Suppose the skills needed to perform the work in the two industries are identical, and the supply of labor to the two industries is fixed at 6,000 workers per day. What will be the equilibrium wage, and how many workers will work in each industry?

Answers

Answer and Explanation:

The computation of the equilibrium wages and the number of workers in each industry is as follows:

Since the supply of labor is 6,000

As per the attached graph, the common rate is $8 per hour so if we take 2000 workers in industry A and 4000 workers in industry b  

So, the equilibrium wage would be $8

Hence, the same would be considered and relevant too

Suppose the skills needed to perform the work in the two industries are identical, and the supply of

How many feet are in 400 meters? (Full Sentence Response) Again... I know I asked this the last time, but you can handle it! *

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Cost-push inflation can contribute to a recession by increasing prices, which?

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Cost-push inflation can contribute to  recession by: increasing prices which reduces output and leads to lower employment and lower real incomes. Price increases, sometimes known as inflation, are essentially the progressive decline in purchasing power. The average price increase of selection of products and services over time can serve as a proxy for the rate at which buying power declines.

The rate at which the cost of goods and services increases is known as inflation. Those who own tangible assets, such as real estate or stored commodities, may benefit from inflation since it will increase the value of their holdings.

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Regina, a 25-year-old professional, wants to start an investment portfolio. What strategy may her financial advisor suggesta

A.Start a moderate portfolio and shift to high risk later in life.

in luce

B.Invest only in national companies.

C.Buy 100% international stocks.

D. Choose a high-risk portfolio now and change it, if needed, in the future.

Answers

Answer:

A.Start a moderate portfolio and shift to high risk later in life.

Explanation:

Investment portfolio may be defined as the financial investments done by one. It is the collection or ownership of various assets and stocks, bonds, real estates, cash, etc.

In the context, Regina who is 25 year old wishes to start an investment plan. For this her financial advisor may suggest her to start her investment in a moderate portfolio and then later may shift to a high risk portfolio. This is because Regina is young and is new to investment. She is not experience enough to invest in high risk portfolio. When she gains knowledge about investments in her life then she can properly plan her investment in order to achieve maximum profit.

Malcolm Lewis has come up with the idea of a system for picking up people's cars while they are at work, washing and waxing them, and returning them for a fee. Having been a big success in his home city, Malcolm plans to expand his operation into other cities. The service described here seems best suited to

Answers

Answer:

Franchising

Explanation:

Franchising is a strategy that companies use to expand their business in which one party called the franchisee pays the other party the franchisor a specific amount of money to have access to the company's processes, knowledge and brand to sell the product or service in a specific place using the name of the company. This would be the best suited strategy for this service because the company can expand without having to get a big amount of capital using the resources of other people and this can allow to grow faster and the franchisee can have a better knowledge of the specific market.

marginal cost typically and marginal revenue typically with increasing output. a. rises; falls b. falls; rises c. rises; rises d. falls; falls

Answers

The right response is (a) increases.

What do marginal cost and marginal revenue mean in general?

Marginal cost is the expense incurred for selling that one unit, whereas marginal revenue is the income obtained by selling one more unit. Each measures the incremental change in dollars between various sales levels to ascertain the level at which a business is manufacturing and selling things most efficiently. The expense incurred while producing one more unit of a good or service is known as the marginal cost. It is computed by deducting the price of creating the prior quantity from the total cost of producing that quantity.

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.
Say that you (or your parents) are purchasing a house for $235,000 and have an excellent credit score. If you pay $1,678.93 at the end of the first month, how much is applied to the principal balance?

Secured Unsecured
Credit APR (%) APR (%)
Excellent 4.75 5.50
Good 5.00 5.90
Average 5.85 6.75
Fair 6.40 7.25
Poor 7.50 8.40



$616.29


$685.25


$721.19


$748.72


Good 5.00 5.90
Average 5.85 6.75
Fair 6.40 7.25
Poor 7.50 8.40



$180.22


$133.88


$124.78


$141.93

Answers

Answer:

the answer should be 748.72

Explanation:

A binding price ceiling is a mandated _______.

A. maximum price above the market equilibrium price
B. minimum price above the market equilibrium price
C. maximum price below the market equilibrium price
D. minimum price below the market equilibrium price

Answers

A binding price ceiling is a mandated "maximum price below the market equilibrium price."

This is because a binding price ceiling is a point at which the price of certain commodities can not rise above the market equilibrium price.

The binding price ceiling is usually set by the government rather than the force of demand and supply.

The binding price ceiling has negatives, such as leading to a shortage of supply.

Hence, in this case, it is concluded that the correct answer is option C.

"maximum price below the market equilibrium price."

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Answer:

I took the quick check. brainliest would be nice

Explanation:

1: C- maximum price below the market..

2:C- producers from low market..

3: C- led to a shortage as prices are kept from rising....

4: D- a price ceiling of 1,000

5: A- the surplus resulting from the price floor...

In a venture capital firm, what does the word "capital" refer to? Question 5 options: a. the capital of the state where it's located
b. the capital, or money, they invest in businesses c. the way they use capital letters for all their communications
d. where their offices are housed in the state capitol building

Answers

In a venture capital firm, the word "capital" refers to B. the capital, or money, they invest in businesses.

Venture capital firms are financial institutions that specialize in providing funding to start-ups and emerging businesses, often in exchange for equity or ownership stakes in these companies. They play a critical role in the growth and development of innovative businesses by providing the financial resources and guidance necessary to scale and succeed.

The term "capital" in this context refers to the financial resources the firm allocates for investments in these companies. This capital can come from various sources, including private investors, institutional funds, or the firm's own resources. Venture capital firms use their expertise and networks to identify promising companies, evaluate their potential, and support their growth through strategic capital deployment.

In summary, the word "capital" in a venture capital firm is related to the money they invest in businesses, supporting their growth and development by providing the necessary financial resources. This usage of the term is not related to the location of the firm or the way they use capital letters in their communications. Therefore, the correct option is B.

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Answer:

ITS B

Explanation:

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How can you find the lenders and servicers for your federal loans?

a.Call your school’s financial aid department

b.Call your bank

c.Visit the NSLDS website

d.Visit the MLB website

Answers

C you should vist NSLDS website

Calculate the FV for the following 3 scenarios. Investment scenario #1:
You invest $1,000 (PV) for 10 years (n) at an interest rate of 5% (r). What is the amount you would receive at
the end of 10 years (FV)?
Investment scenario #2:
You invest $5,000 (PV) for 20 years (n) at an interest rate of 8% (r). What is the amount you would receive at
the end of 20 years (FV)?
Investment scenario #3:
You invest $10,000 (PV) for 30 years (n) at an interest rate of 12% (r). What is the amount you would receive
at the end of 30 years (FV)?
PLEASE ANSWER WITH WORK SHOWN :)

Answers

Answer:

?

Explanation:

Answer:

$2191.12

Explanation:

We are asked to find the value of a bond after 10 years, if you invest $1000 in a savings bond that pays 4% interest, compounded semi-annually.

FV=C_0\times (1+r)^n, where,

C_0=\text{Initial amount},

r = Rate of return in decimal form.

n = Number of periods.

Since interest is compounded semi-annually, so 'n' will be 2 times 10 that is 20.

4\%=\frac{4}{100}=0.04

FV=\$1,000\times (1+0.04)^{20}

FV=\$1,000\times (1.04)^{20}

FV=\$1,000\times 2.1911231430334194

FV=\$2191.1231430334194

FV\approx \$2191.12

Therefore, the bond would be $2191.12 worth in 10 years.

Why do companies use job cost sheets?

Answers

To keep up on what cost what and what is spent on a thing/idem

Cost sheets seem to be documents used by firms to control the material costs associated with product production. These papers can track individual notable contributions to better examine how much money it expenses to manufacture a product, assisting you in determining the appropriate retail selling price and making a profit.

However, because job cost sheets clarify where expenses happened, clients may simply comprehend what really paid for. The sheet was updated whenever an expense is incurred. A job cost sheet can also be a useful tool for businesses that make job bids.

A job cost record is created to total the costs comprising direct materials, and direct labor, including overhead for a single job. As such, it serves as a starting point for a job costing system, inside which expenses for batches of units are accumulated.

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A combary's cosy formisit 80 ites overtiead cost is $2.300 per month plus $6 per unit: For the s5. unite. The action overthead cost for the month was $7.790. The activity variance for supplies cost in hisy weridab be closest to: 5324 F 530f $304 $324U

Answers

The closest option would be $324 U (unfavorable), even though it is significantly smaller than the actual variance.

To calculate the activity variance for supplies cost, we need to compare the actual cost of supplies with the expected cost based on the flexible budget.

Based on the information provided, we know that the fixed overhead cost for the month is $2,300 and the variable overhead cost per unit is $6. Therefore, the total expected overhead cost for 5,000 units (the number of units produced in the month) can be calculated as follows:

Total expected overhead cost = Fixed overhead cost + (Variable overhead cost per unit x Number of units)

Total expected overhead cost = $2,300 + ($6 x 5,000)

Total expected overhead cost = $32,300

Next, we can calculate the total actual overhead cost for the month by adding the fixed overhead cost of $2,300 to the total supplies cost of $7,790:

Total actual overhead cost = Fixed overhead cost + Actual supplies cost

Total actual overhead cost = $2,300 + $7,790

Total actual overhead cost = $10,090

The activity variance for supplies cost can now be calculated as the difference between the actual and expected costs:

Activity variance = Total actual overhead cost - Total expected overhead cost

Activity variance = $10,090 - $32,300

Activity variance = -$22,210

The negative sign indicates that the actual supplies cost was lower than expected, which is a favorable variance. Therefore, the closest answer choice would be $22,210 U (unfavorable). However, none of the answer choices match this, so the closest option would be $324 U (unfavorable), even though it is significantly smaller than the actual variance.

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Which is the missing phrase in the following sentence? A weakness of the ____ method of investment appraisal is that it cannot be used where the pattern of cash flows is irregular, with a mixture of cash inflows and cash outflows.

Accounting rate of return
Internal rate of return
Payback
Net present value

Answers

A weakness of the accounting rate of return method of investment appraisal is that it cannot be used where the pattern of cash flows is irregular, with a mixture of cash inflows and cash outflows.

The accounting rate of return (ARR) method calculates the average annual profit or return on an investment as a percentage of the initial investment. It does not take into account the timing or magnitude of cash flows over time. Therefore, it is unable to handle situations where cash flows occur at different time periods or when there are varying amounts of cash inflows and outflows.

In contrast, methods like internal rate of return (IRR), payback, and net present value (NPV) consider the timing and magnitude of cash flows, making them more suitable for analyzing investments with irregular cash flow patterns. IRR calculates the rate of return that makes the net present value of cash flows equal to zero, while payback calculates the time required to recover the initial investment. NPV, on the other hand, discounts all cash flows to their present value and compares them to the initial investment to determine the profitability of the investment.

Therefore, the missing phrase in the sentence is accounting rate of return.

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How do credit card companies make money?
O (A) Fees and interest paid by cardholders
O (B) Investing your credit card debt
O (C) Fees paid by merchants
O All of them
O A and B
O A and C
OB and C

Answers

Answer:

A and C

Explanation:

Credit card companies get their income form the following three main sources

Interest paid by cardholdersFees charged to cardholders' credit cards.transaction charges paid by merchants who accept credit cards

Interests form the bulk of income to the card companies. Typically charge interest arises when customers carry a balance from a month to the next. Fees charged include annual fees, late fees, cash advance fees, balance transaction fees, among others. Merchants usually pay a percentage for every transaction conducted via a credit card.  The percentage ranges between 1% to 3 %.


The accounting principle that requires revenue to be recorded when goods or services are provided customers and at an a
received from customers is

Answers

Answer:

revenue recognition principle

Explanation:

is this what you are looking for?

If the resources that an entrepreneur uses have a higher value if used for other production, the entrepreneur will

Answers

Answer:c

Explanation:

An entrepreneur should focus his or her efforts on ventures that will provide the most profit.

If they invested in something else, they would lose money since the project they chose would yield less profit than the optimal one that would have yielded more.

Thus, Lose Money is correct.

What is the most important resource for business owners?

Human capital, sometimes known as "talent" or "employees," was frequently the most highly regarded resource among those polled.

Management and technical workers were regularly mentioned as being very significant by respondents. Debt and equity capital are used to provide access to funding or finance.

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please hurry!! Review each of the investment opportunities provided by Earll Investments and Pima Financial Trading. In at least two to three paragraphs, write an analysis of these opportunities that answers the following questions. What are the true risks of each investment, and do the companies accurately describe these risks? What are the potential returns of each investment, and do the companies accurately describe these returns? Based on the evidence available to you, which investment opportunity is more likely to be fraudulent? please be original

Answers

Answer:

Pima Financial

Explanation:

Pima Fiancial Trading is the best investment because they do not claim, unlike Earll Investments, that a high reward is always available with little risk. This is nearly never the case because the higher the risk the higher the reward. Pima Financial Trading's graph rises steadily while Earll's fluctuates heavily. So Pima Financial is the best choice.

Looking at the given question, one can analyse that Pima Financial Trading is best because they do not offer high reward with little risk.

What is investment opportunity?

Investment opportunity refers to tangible and intangible offerings that are given, sold or traded in order to earn profit or appreciation.

Thus, we can see that Pima Financial Trading has a steady rise in their trading graph.

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Other Questions
What are the characteristics of a quadrilateral? Drag the correct labels under the diagrams to identify the events of RNA processing. If freshwater flows into Mono Lake, why is the lake salty? Find in the annotation the evidence starter in body paragraph 1 and write it. Question attached below Compare the bold sections of both sentences and then answer the question that follows: Original: My father disliked sleet, but my father disliked hail more. Revised: My father disliked sleet, but he hated hail more. What was done to the bolded section to improve the sentence? the _____ shows the quantity of products that producers will offer at various market prices. michaela is a systems analyst who is determining business requirements. what would most likely be the systems development life cycle (sdlc) phase for her? A horizontal plpe with a 0.7 m uniform diameter is 452 m long. If the measured pressure drop is 42.1 meters-of-water. What is the discharge (in ma3/s)? Note: Assume a Manning's " n " coetficient of 0.010 the standardized process described in the scor model that includes the selection of raw material suppliers is Which type of verbal is used as a modifier?A. infinitiveB. gerundC. participleD. noun a student dilutes 5.00 ml of an unknown solution to 100.00 ml, using volumetric glassware. what is the dilution factor for this dilution? bob's father is three times as old as he is. four years ago, bob's father was four times as old as he is. how old are bob and his father Imagine that an urban transit system shutdown isn't communicated effectively to the public. What is likely to result? What's Is m 325874148 who is getting answer from someone named MrSmartBrainly? he needs to be banned! hiring individuals who have values that are similar to those of the company leadership and aligned with the company mission helps the organization develop a better sense of: wHy Is ThIs oNe kAnSas bUt ThIs OnE iS nOt aRkAnsAs the "standard consumer package" of the 1950s included a car, house, and television. (True or False) Which excerpt from O Connors Good Country People contains an example of irony every morning Mrs Hopewell?