The market rate of return to increase for all equity securities, then you should also expect the Gordon Growth Model market values of all stocks to decrease."
A commonly employed dividend growth model is the constant growth dividend discount model (DDM), which is also referred to as the Gordon Growth Model.
The Gordon Growth Model (GGM) is used to decide the intrinsic price of a inventory primarily based on a future collection of dividends that develop at a constant fee. it's far a famous and straightforward variation of the dividend discount model (DDM). The Gordon Growth Model assumes that dividends develop at a consistent price in perpetuity and solves for the existing fee of the limitless series of destiny dividends.
because the model assumes a regular boom charge, it is usually best used for groups with strong increase costs in dividends in line with share.
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Suppose that a customer's willingness to pay for a product is $83, and the seller's willingness to sell is $57. If the negotiated price is $68, how much is consumer surplus?
Group of answer choices
$15
$21
$4
$11
Based on the given information, the consumer surplus is $15. Thus the correct option is A.
Consumer surplus is an economic concept that describes the discrepancy between the greatest price a consumer is prepared to pay and the amount they actually pay for a good or service.
It illustrates the added value or benefit that consumers get from a transaction in comparison to what they give up in terms of monetary payment.
To calculate consumer surplus the formula is
Consumer Surplus = Willingness to Pay - Price Paid
Consumer Surplus = $83 - $68
Consumer Surplus = $15
Therefore, option A is appropriate.
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give an example of tourism for market penetration
Answer:
restaurants
Explanation:
like when you have a vegetarian people that only eats vegies that means that the only thing that is going to sell out is the vegies not that meat
Cash flows from interest received are reported in the statement of cash flows as part of:
a. operating activities
b. financing activities
c. investing activities
d. non-cash activities
e. none of these as this is not reported in the statement of cash flows
Cash flows from interest received are reported in the statement of cash flows as part of operating activities.
Option A is correct.
What are the main responsibilities?A company's operating activities are the tasks that go into making its goods and/or services available to the market. Manufacturing, distributing, marketing, and selling a product or service are examples of the company's core business activities.
Cash Flow from Operating Activities: What Is It (CFO)?
The term "cash flow from operating activities" (CFO) refers to the amount of money a company receives from its regular, ongoing operations, such as manufacturing and selling goods or providing a service to customers.
In the statement of cash flow, what is operating?Activities carried out: Cash flow activities are those that either record the money spent on producing a product or service or generate revenue. Inventory transactions, interest and tax payments, employee wages, and rent payments are examples of operational business activities.
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what basis do you use to decide when to spend money in your everyday life, and do you think your decisions are always well thought out?
1) First, consider what is important to you and whether you have given it adequate funding. Many people immediately consider travel as one of their retirement interests. For some, the most important thing is to see friends and family as often as possible. It's difficult to forget the elderly uncles and aunts who make the effort to attend every family wedding or ceremony. If you want to travel, spend money on plane tickets, hotel reservations, and other expenses.
2) Second, unless you are willing to devote time, energy, and resources to your hobby, you may not be serious about it. If music is your passion and you believe you need to learn it formally, enrol in classes and take it seriously as a student. If you enjoy photography, invest in a good camera and lenses and do what it takes to pursue it seriously. If you believe you will pursue a new activity in retirement, set a reasonable budget for it and enjoy it.
3) Third, if there are expenses you've put off your entire life and now have the money to spend, bring them back to the table. Purchasing books that you enjoy reading, dining out to try new cuisines, attending exhibitions, shows, and concerts that interest you, or purchasing clothing and jewelry that you denied yourself during your saving days can all be financed if you have the money.
4) Fourth, think about allocating money to expenses that will improve your comfort. You might want to invest in a comfortable reading chair, a back-supporting couch, a higher-quality bed, blanket, or pillows, and other small items that will improve your comfort. You might want to hire a cab instead of taking public transportation; fly instead of taking the train; and so on. These may seem insignificant, but I have many elderly friends who will continue to pinch back on their own comfort from their frugality habit even when it is no longer necessary.
5) Fifth, if you believe you have more than you need, practise giving it away. Many people could make good use of that money. You may have made a difference in another person's life if you paid a hospital bill, a tuition fee, a coaching class fee, or if you purchased life-sustaining medicine or equipment, or even if you provided clothing, footwear, and other basic necessities. Donate to charities that work on issues that are important to you. Support your vegetable vendor, security guard, liftmen, cooks and cleaning staff, drivers, and others if you can be generous with them.
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Match the phrase that follows with the term (a-e) it describes. integrated set of operating and financing budgets for a period of time estimates the number of units to be manufactured to meet sales and inventory levels shows expected results at several activity levels begins by estimating the quantity of sales shows expected results at only one activity level 1. static budget 2. flexible budget 3. master budget 4. sales budget 5. production budget
1. Master budget: it is an integrated set of operating and financing budgets for a period of time.
2. Production budget: it estimates the number of units to be manufactured to meet sales and inventory levels.
3. Flexible budget: it shows expected results at several activity levels.
4. Sales budget: it begins by estimating the quantity of sales.
5. Static budget: it shows expected results at only one activity level.
A budget can be defined as a financial plan that is used for the estimation of revenue and expenditures of an individual, organization or government, especially for a specified period of time, often one (1) year.
Basically, there are different types of budget and this include:
1. Master budget: it comprises an integrated set of both investing, operating and financing budgets for a specified period of time, often one (1) year.
2. Production budget: it estimates the number of units to be manufactured by a business firm, so as to meet budgeted sales and inventory levels.
3. Flexible budget: it shows expected results of a business firm (responsibility center) at several activity levels.
It is also referred to as variable budget and it's used both before and after a period's activities are completed.4. Sales budget: it begins by estimating the quantity of sales.
Once the quantity of sales are estimated, the sales revenue that are expected is calculated by multiplying the expected unit sales price by the volume.5. Static budget: it shows expected results of a business firm (responsibility center) at only one activity level.
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Which is the best measure of economic growth of a country Mcq? A. GNP
B. GDP
C. Net revenue
D. None of these
The best indicator of a country's economic growth is its (B) GDP.
What do we mean by GDP?GDP is the most accurate measure of a nation's economic expansion.
The phrase "gross domestic product" is used to estimate the market value of all final products and services produced and sold (not resold) by nations within a specific time period in dollars (GDP).
GDP, the most frequently mentioned measure of prosperity, is a useful indicator of a nation's economic performance.
It does have some serious flaws, though, namely the exclusion of non-market transactions.
The failure to acknowledge or convey the gravity of society's wealth inequality
Therefore, the best indicator of a country's economic growth is its (B) GDP.
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1. A cylinder contains600cc of ideal gas at 27°C and 650mm of pressure At constant pressure, the
volume of gas at 0°C is
(1 Point)
273cc
546cc
819cc
1365cc
Answer:
\(546\ \text{cc}\)
Explanation:
\(V_1\) = Initial volume of gas = 600 cc
\(V_2\) = Final volume of gas
\(T_1\) = Initial temperature of gas = \((27+273.15)\ \text{K}\)
\(T_2\) = Final temperature of gas = \((0+273.15)\ \text{K}\)
We know that
\(V\propto T\)
So
\(\dfrac{V_2}{V_1}=\dfrac{T_2}{T_1}\\\Rightarrow V_2=V_1\dfrac{T_2}{T_1}\\\Rightarrow V_2=600\dfrac{0+273.15}{27+273.15}\\\Rightarrow V_2=546\ \text{cc}\)
The volume of gas at the given temperature is \(546\ \text{cc}\)
Online content that has been created and posted by unpaid contributors such as customers or fans of a product or service is referred to as:.
Online content that has been created and posted by unpaid contributors such as customers or fans of a product or service is referred to as User-generated content.
User-generated contentUGC for short is content that is created, published or submitted by users of a brand. In numerous cases, it's the most influential content for brands. Usually, contributors are unpaid fans who encourage a brand instead of the brand promoting itself.
Online users are evolved increasingly savvy in knowing which companies are using messy marketing tactics, and which ones are being genuine and evident.
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What does "trader of energy derivative contracts" mean?
Answer:
Energy derivative currency traders are becoming a component of market or commodity participants. A further explanation is given below.
Explanation:
These participants concentrate on negotiating to arise from movements in market contractual agreements for physical materials such as oil as well as gold. Almost always, these merchants come to terms with manufactured goods used during the start of the development production process, including certain copper for building projects or wheat flour besides cattle feed.Recall the four reasons some people favor trade restrictions. Give an example from the U.S. economy that you think best fits each reasons
Answer: See explanation
Explanation:
Trade restrictions simply means a way of protecting the local industries. This can be through imposition of tariffs on foreign goods, use of quota etc. The importance of trade restrictions are:
1. Trade restrictions are important in the protection of the infant indutries, that is, the young industries in a country that are just growing.
2. Trade restrictions is necessary to prevent dumping of goods. This mean selling of goods at lower prices or of low quality in a country. This gives such products an unfair advantage over other goods produced in the home country.
3. Trade restrictions is vital on order to protect the strategic indutries.
4. Trade restrictions is also vital in order to protect the jobs of the people in the country. When goods are imported rather than supporting local businesses, this can lead to unemployment as workers will lose their jobs.
it takes country a two hours to produce a unit of consumer goods and five hours to produce a unit of capital goods. country b can produce a unit of consumer goods in one hour and a unit of capital goods in four hours. which country has a comparative advantage in the production of consumer goods? explain.
Country B has the comparative advantage in the production of consumer goods.Country A and Country B can produce consumer goods and capital goods. Country A takes 2 hours to produce a unit of consumer goods and 5 hours to produce a unit of capital goods.
Country B, on the other hand, takes 1 hour to produce a unit of consumer goods and 4 hours to produce a unit of capital goods.Country B has the comparative advantage in the production of consumer goods. The country that can produce a particular good or service at a lower opportunity cost than the other is said to have a comparative advantage in that good or service. When it comes to the production of consumer goods, Country B has a lower opportunity cost than Country A because it can produce one unit of consumer goods in one hour while Country A requires two hours to produce the same unit of consumer goods. This means that Country B must sacrifice fewer capital goods to produce a unit of consumer goods than Country A must, hence it has the comparative advantage in the production of consumer goods.
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Which ones of the following account types increases with credit (negative) balances? a) Assets b) Expenses c) Liabilities d) Shareholders' Equity e) Revenues
Liabilities is the account type that increases with credit (negative) balances. Credits are used to record increases in liabilities, which represent the obligations or debts that a company owes to external entities.
Liabilities is the account type that increases with credit (negative) balances. Credits are used to record increases in liabilities, representing the obligations or debts that a company owes to external entities. It is crucial for businesses to accurately track their liabilities as they reflect the company's financial obligations.
Liabilities have a normal credit balance in accounting. When a company incurs a liability, such as a loan or an accounts payable, it is recorded as a credit entry. This increases the liability account balance. Examples of liabilities include loans, mortgages, accounts payable, and accrued expenses.
Proper management of liabilities is essential for maintaining financial stability. Monitoring and controlling liabilities help businesses ensure that they can meet their obligations and maintain a healthy financial position. By understanding the impact of credits on liabilities, companies can effectively track their financial liabilities and make informed decisions about their financial resources.
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describe what estimators look for in their review of the bid documents.
Data may be highlighted by the estimator for consideration at a later stage of the estimation process. Everything unique in the specs or on the drawings falls under this category.
The price of an item is determined by the job's specifications. The information in specifications include things like construction type, material quality, mix ratios, how the work is to be done, etc. Detailed specs, rates, and other information are needed in order to create an estimate. Plans, sections, elevations, and other drawings are required to create the estimate.
They define the types, amounts, and ratios of materials as well as the preparation and execution processes for a specific piece of work within a project.
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A and B form a partnership; each contributes $500. They share all profits and losses equally. AB's initial Book Basis balance sheet is as follows: Assets Liabilities & Capital Cash $1,000 Capital - A $500 Capital - B $500Initial Transaction - The partnership buys a building for $1,200, paying $300 cash and giving an $900 mortgage for the balance. AB also invested some of the cash in some stock ($200) and bonds ($200). What does AB's balance sheet look like after these transactions?
After the initial transaction, where the partnership buys a building for $1,200, pays $300 in cash, and takes a $900 mortgage for the balance, the new balance sheet for AB would be as follows:
Assets:
Cash: $1,000 - $300 = $700
Building: $1,200
Stock: $200
Bonds: $200
Liabilities & Capital:
Mortgage: $900
Capital - A: $500
Capital - B: $500
Revised Balance Sheet for AB:
Assets:
Cash: $700
Building: $1,200
Stock: $200
Bonds: $200
Liabilities & Capital:
Mortgage: $900
Capital - A: $500
Capital - B: $500
Please note that the values for cash, building, stock, and bonds have been adjusted based on the transactions, while the values for mortgage and the capital accounts remain the same.
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Silver Bear Golf (SBG) is a manufacturer of top quality golf clubs with a specialty of putters. Currently, each putter they sell brings in $230 of revenue at a cost of $150. This past year, they sold 1,000 putters and they expect this number to grow each year by 9.5% until this model becomes obsolete after 12 more years. The foreman at the SBG factory recently brought to your attention a new technology that could lower the cost of production. This technology requires an upfront fixed investment of $170,000 and has the capacity to produce all the putters you want to sell per year at a unit cost of $133. There is no increased working capital need due to this new technology, and no value of the machine/technology after 12 years. What is the NPV of investing in the new technology? Ignore taxes and assume a discount rate of 15.0%
The Net Present Value (NPV) of investing in the new technology is approximately -$68,488.53.
To calculate the Net Present Value (NPV) of investing in the new technology, we need to determine the cash flows associated with the investment and discount them to their present value using the given discount rate. The formula to calculate NPV is as follows:
NPV = ∑(CF_t / (1+r)^t) - Initial Investment
Where: CF_t represents the cash flow in year t
r is the discount rate, t is the time period
Let's calculate the NPV step by step:
Step 1: Calculate the cash flows associated with the investment.
The cash flows will include the savings in production costs and the initial investment.
For each year: Savings in production costs = (Current cost per unit - New cost per unit) * Number of units sold
Year 1: Savings in production costs = ($150 - $133) * 1,000
= $17,000
Year 2: Number of units sold = 1,000 * (1 + 9.5%)
= 1,095
Savings in production costs = ($150 - $133) * 1,095
≈ $18,165
Similarly, we calculate savings in production costs for each year until year 12.
Step 2: Calculate the present value of each cash flow.
The present value of each cash flow is calculated by dividing the cash flow by (1+r)^t, where r is the discount rate and t is the time period.
Year 1: Present value = $17,000 / (1+0.15)^1
= $17,000 / 1.15 ≈ $14,783.04
Year 2: Present value = $18,165 / (1+0.15)^2
= $18,165 / 1.3225
≈ $13,753.58
Similarly, we calculate the present value of savings in production costs for each year until year 12.
Step 3: Calculate the NPV by summing up the present values and subtracting the initial investment.
NPV = ∑Present values - Initial Investment
Year 1: $14,783.04
Year 2: $13,753.58
Year 3: $12,781.78
Year 4: $11,861.32
Year 5: $10,986.83
Year 6: $10,153.73
Year 7: $9,357.19
Year 8: $8,593.06
Year 9: $7,857.80
Year 10: $7,148.44
Year 11: $6,462.50
Year 12: $5,797.10
Initial Investment: -$170,000
NPV = $14,783.04 + $13,753.58 + $12,781.78 + $11,861.32 + $10,986.83 + $10,153.73 + $9,357.19 + $8,593.06 + $7,857.80 + $7,148.44 + $6,462.50 + $5,797.10 - $170,000
NPV ≈ -$68,488.53
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How do my economic choices affect the environment?
Answer:
The environmental impact of economic growth includes the increased consumption of non-renewable resources, higher levels of pollution, global warming and the potential loss of environmental habitats. ... Also, economic growth caused by improved technology can enable higher output with less pollution.
Answer:
The environmental impact of economic growth includes the increased consumption of non-renewable resources, higher levels of pollution, global warming and the potential loss of environmental habitats. ... Also, economic growth caused by improved technology can enable higher output with less pollution.
Explanation:
final determination involving settlement of an industrial accident is known as 1) business-to-employee
2) consumer-to-consumer
3) business-to-business
4) business-to-consumer
5) none of the above
The correct answer is:
5) none of the above.
The final determination involving settlement of an industrial accident is not specifically categorized under the options provided. The options listed are commonly used terms to describe different types of business interactions or transactions, such as business-to-employee (B2E), consumer-to-consumer (C2C), business-to-business (B2B), and business-to-consumer (B2C).
The settlement of an industrial accident typically involves legal and insurance processes, negotiations, and potentially legal proceedings. It is a distinct process that may involve multiple parties, such as the injured employee, the employer, insurance companies, legal representatives, and regulatory authorities.
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Explain two benefits to Walmart of setting up a joint venture to enter the Indian market
Answer:
Walmart will get more money. It will also expand their brand.
Explanation:
^
A customer who has, as part of her account holdings, unlisted REITS, as well as a limited partnership interest in an oil and gas program, may expect her servicing member firm to show A) no valuation for the unlisted REITS and the original investment made in the DPP interest. B) a per share estimated value of the securities. C) the amount shown on Tape B the business day before the account statement closing date. D) an exact per share value as calculated on the last business day of the month.
Answer:
In recent months the news about Listed Real Estate Investment Companies -
SOCIMIS-, abound in all the economic newspapers of the country, have become one of
investment instruments with the most interest in a market where the highly
named reactivation of economic growth, as well as job creation. At
The work presented below has been intended to make a small approximation to
this unique area within the framework of a new real estate market.
As an introduction to the work itself, a reflection and approach has been made
the Spanish real estate sector, which has had so much weight in the country's growth in the
recent years, analysis that will deal with the housing market both in its aspect
residential as well as for rent.
The first part of the work consists of showing the origin of this type of societies
mercantile, beyond our borders, in countries with a social and financial culture
different from that applicable in Spain. We will study the emergence of REITs, the evolution that
have followed to this day, the legal framework in which they operate, and the characteristics and
particular of the different types. All this both in his country of origin, the United States of
America as in so many others on various continents.
The central part of the theoretical work will consist of presenting the characteristics of the
SOCIMIS - Listed Stock Companies of Real Estate Investment, companies of recent
creation. Their characteristics will be analyzed in depth, comparing them with
others with similar characteristics in the market and analyzing in depth the taxation of
these and their final impact on shareholders.
Finally, the practical case of a SOCIMI will be analyzed, from before it took that name,
going through the analysis of your real estate assets, balance sheets and loss accounts and
profits, to finally land on a listed market offering investors the
participation in the company in exchange for a return.
The final part of the work will consist of the analysis in the same way as that mentioned in point
above, but with respect to other real estate assets in which it may have an interest in investing the
SOCIMI.
which of the following items is generally not taxable on a federal return? select one: a. income from illegal activity b. tips under $20 a month c. fees received for jury duty d. inheritance e. none of these g
Option (d), Inheritances are typically exempt from federal income taxes. Gifts, inherited property, and bequests are not taxable in the eyes of the IRS. reimbursements in currency for commodities that buy from the merchant, manufacturer, or dealer. offering alimony
When does the federal income tax become due?Every year on April 15th, federal income tax returns must be submitted. The day can alter a little bit if April 15 falls on a weekend or for other reasons.
Tax Exemption from Federal IncomeAs a result, you don't pay any federal income taxes for the entire year. Your W-4 needs to make this clear. When your federal tax status is listed as exempt, your employer does not withhold any federal taxes from your paycheck. It should never lose its validity.
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Answer these you get 20 points!!! Please help me !! Please
Mohammed is interested in purchasing a house worth 51,750 OMR. Mohammed goes to Sohar Bank (an Islamic bank) for the purchase of the property and puts down 40% of the price as a down payment. Both parties determined the rental value for the house as 350 OMR per month as the rental value. Based on the rental value and the financing period, the financial institution determined fixed monthly payments as 4,000, which Mohammed would have to make to own the house.
• Prepare payment table for this contract.
• Find the beginning bank ownership.
• Find the total rent paid.
• Find the total extra payments.
In this scenario, Mohammed is purchasing a house worth 51,750 OMR with a down payment of 40%. The rental value for the house is set at 350 OMR per month, and Mohammed will make fixed monthly payments of 4,000 OMR to own the house.
To prepare the payment table, we start with the total house price of 51,750 OMR. Mohammed makes a down payment of 40%, which amounts to 51,750 OMR * 0.4 = 20,700 OMR. The remaining amount to be financed is 51,750 OMR - 20,700 OMR = 31,050 OMR.
The fixed monthly payments of 4,000 OMR will continue until the remaining financed amount is paid off. To determine the payment schedule, we subtract the rental value of 350 OMR from the fixed monthly payment, resulting in 4,000 OMR - 350 OMR = 3,650 OMR, which goes towards the principal amount.
Using this information, we can create a payment table that shows the monthly payments, interest, principal reduction, and remaining balance until the house is fully owned.
The beginning bank ownership is the remaining financed amount after the down payment, which is 31,050 OMR.
To calculate the total rent paid, we multiply the rental value of 350 OMR per month by the number of months it takes to fully pay off the house, considering the fixed monthly payments.
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You are managing a project to build an urgent care clinic. Your company is expanding and has constructed 25 clinics so far. Which estimating technique makes the most sense to use in this situation?
Answer:
Delphi technique
Explanation:
The Delphi model is a technique of group communication in which a panel of experts reach consensus on a set of questions and discussions. This is used to predict or to forecast. First, choose an effective facilitator and experts with relevant expertise, and ensure that the issue is well established after that they reach with a decision
Therefore in the given case, the delphi technique is used
Why could the invention of new technology lead to new business ideas?
Answer:
Why could the invention of new technology lead to new business ideas?
Explanation:
A project selection process that is strongly linked to strategy results in?
A project selection process that is strongly linked to the strategy results in better utilization of organization's resources.
What is project selection?The process of planning and selecting a team's subsequent project is referred to as project selection. Since projects frequently compete for resources, you must take into account the requirements and objectives of each potential project and prioritise them properly. The majority of businesses always have a number of possible initiatives brewing. Successful businesses have a standardised procedure for evaluating these projects against one another to find the next best fit. An organization's following actions after selecting a project are to outline it and develop a project plan. An experienced project manager frequently has specialised knowledge and abilities that a higher-level executive might not have, such greater understanding of the risks and resource needs of a proposal.
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The fair value of the plant and equipment was $60,000 more than its recorded carrying amount. The fair values and carrying amounts were equal for all other assets and liabilities. What amount of goodwill, related to Star's acquisition, should Penn report in its consolidated balance sheet
Answer:
$20,000
Explanation:
The question is missing some parts:
Penn Corp. paid $300,000 for the outstanding common stock of Star Co. At that time, Star had the following condensed balance sheet:
Carrying amounts
Current assets $40,000 Plant and equipment, net $380,000 Liabilities $200,000 Stockholders' equity $220,000
After a company is acquired, the parent company (the buyer) must record all the assets and liabilities at fair market value. In this case, the fair market value was higher than the carrying value by $60,000, therefore, the value of Penn's P,P&E must increase from $380,000 to $440,000. So total assets = $480,000, liabilities = $200,000, so equity = $480,000 - $200,000 = $280,000.
Since Goodwill represents the amount of money paid in excess of equity value, then Goodwill = $300,000 - $280,000 = $20,000
what are the advantages of interdependence in economics
Answer:
This affiliation allows specialist industries to thrive. And, the success can lead to job and wage/salary increases and an overall improvement to wealth and lifestyle
hi ik someone is going to report but i just want to say hi
Lol, mood. Hi! I am literally so bored to. Anyways hope you have a good day!
:) :) :)
Again, how do you pay taxes?
Charitable donations, entertainment expenses, and
financial goals are all examples of...
things to consider when creating a budget.
things that are considered needs.
activities that contribute to overspending.
activities that are necessary for a healthy lifestyle.
Answer: Things to consider when creating a budget.
Explanation: Trust me bro
Giving donations, entertainment costs, and financial goals are all examples of the things to consider when creating a budget. As donation and entertainment expenses can be the measures to control the budgeting.
How making budget is helpful?Budget keeps the person spending tightly accurate to the mark and like to help in saving of the money. It facilitates the person income and expenses equally and shows how much person can spend on the specific thing.
Budget cuts the extra expenses of the person and provide the measurement of spending.
Thus, option A is correct.
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