During the past year, a company had cash flow to stockholders, an operating cash flow, and net capital spending of $14,802, $34,106, and $13,720, respectively. The net working capital at the beginning of the year was $5,778 and it was $6,680 at the end of the year. What was the company's cash flow to creditors during the year?

Answers

Answer 1

During the past year, a company had cash flow to stockholders, an operating cash flow, and net capital spending of $14,802, $34,106, and $13,720, respectively. The net working capital at the beginning of the year was $5,778 and it was $6,680 at the end of the year. The company's cash flow to creditors during the year was -$12,818.

To calculate the cash flow to creditors, we need to consider the change in net working capital (NWC) and net capital spending (NCS) during the year. Cash flow to creditors represents the amount of cash paid to debt holders, which includes interest payments and repayment of debt.

We can use the following formula to calculate cash flow to creditors:

Cash flow to creditors = NCS - Change in NWC

Given:

NCS = $13,720

Change in NWC = Ending NWC - Beginning NWC = $6,680 - $5,778 = $902

Substituting the values into the formula:

Cash flow to creditors = $13,720 - $902 = $12,818

Therefore, the company's cash flow to creditors during the year was -$12,818.

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Related Questions

All of the following statements related to bonds are correct regarding bonds except: bonds typically have a $1,000 face value. bonds represent a promise to pay a sum of money plus periodic interest. bonds arise from a contract known as a bond indenture. bonds usually pay interest annually.

Answers

All of the following statements related to bonds are correct regarding bonds except usually pay interest annually.

What does market price mean?The price at which a good or service can currently be bought or sold is known as the market price. The forces of supply and demand determine the market price of a good or service; the price at which the quantity supplied and demanded are equal is the market price.

How do you find the market price?Find the point where supply and demand are equal to calculate the market price. Find the market price by investigating factors such as market trends, the quantity of suppliers, and the number of current customers.

What is current price and market price?Market value is another name for the current price. It is the last traded price for a share of stock or any other security.

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Except for the fact that bonds typically pay interest annually, all of the following assertions about bonds are true.

What are bonds?

Governments or businesses may issue bonds, which typically have a set interest rate. A bond's market value changes over time as it gains or loses appeal to potential buyers. Higher-quality bonds, which are more likely to be repaid on schedule, typically have lower interest rates.

When does interest generally get paid on bonds?

A bond is a type of debt obligation in which the lender, or owner, is compensated with interest payments. The coupons for this interest are normally paid every six months.

Are interest payments on most bonds yearly?

The majority of bonds pay interest semi-annually, which results in two payments each year for bondholders. Therefore, if you had a $1,000 face value bond with a 10% semi-annual yield, you would earn $50 (5% x $1,000) twice a year for the following ten years.

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Choose the option that best matches the descriptions given.



Exchanging a good or service for money is called:

Answers

Exchanging a good or service for money is called Bartering .

What is Bartering ?

A straightforward idea underlies bartering: Two parties bargain to assess the relative worth of their goods and services, then offer them to one another in an equal trade.

Bartering is a system of exchange in trade where parties engage in direct exchanges of one commodity or service for another without utilizing a means of exchange like money.

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our self-talk consists of words pictures and emotions. as we imprint our affirmations we

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Self-talk is your inner voice or the way you speak to yourself. Although you almost probably are doing it without realizing it, you almost certainly are. In order to produce an internal monologue throughout the day, this inner voice mixes conscious thoughts with ingrained beliefs and biases.

What are the four categories of self-talk?

Your inner discourse is known as self-talk.

Personalizing. You own all of the guilt for yourself.

Magnifying.

Catastrophizing.

Polarizing.

What are the five tiers of one's own self-talk?

Helm Stetter outlines the "Five Levels of Self-Talk" (Negative Acceptance, Recognition and Need to Change, Decision to Change, The Better You, and Universal Affirmation) and offers advice on how to navigate each level for significant life changes.

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Match the steps that marketing management performs to the scenarios that describe the steps

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The steps that marketing management performs to the scenarios that describe the steps include the "Discovery Step --- Marketing management team are performing detailed research for the best target market for their products or services."

The other steps that marketing management performs to the scenarios that describe the steps include the following:

Strategy step -- the marketing management team determines the proper marketing channels for their product or services. Then, they formulate the messaging and finally plan the timing.

Implementation step -- the marketing management team decides when and where to execute their targeted, cost-effective marketing campaigns and put them into action.

Measurement step -- the marketing management team assesses the marketing campaign results to know the right methods or techniques before continuing with the marketing campaign.

Hence, in this case, it is concluded that the Marketing management team plays a vital role in the product life cycle.

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discuss THREE contributing factors that led to xenophobia​

Answers

Answer: Unemployment, poverty, lack of conflict resolution

Explanation:

Xenophobia is a dislike that citizens of a country show to immigrants who settled in the same country. The following are three causes of xenophobia

1) Unemployment; this happens when the citizens of the country don't have the best of jobs compared to the immigrants, this may be due to how well qualified the immigrants are over them. In some cases, this immigrants study further, get more papers to get better jobs, while the some citizens may not want that.

2) Poverty; poverty is a general problem through the world. This could lead to xenophobia, especially when the citizens realize the immigrants have a better life than them.

3) lack of conflict resolution; the government should be able to resolve the slightest form of conflicts among this two parties(citizens and immigrants) because when they are not resolved from the minor issue they are, they escalate to xenophobia.

The average stock price for companies making up the S&P 500 is $30, and the standard deviation is $18.20 (Business Week, Special Annual Issue, Spring 2003). Assume the stock prices are normally distributed. (a) What is the probability that a stock price of a company will be more than $40 (to 4 decimals)? (b) What is the probability that a stock price of a company will be lest than $20 (to 4 decimals)?

Answers

he probability that a stock price of a company will be more than $40 can be calculated using the z-score and the standard normal distribution table .z = (40 - 30) / 18.20 ≈ 0.5495.

Probability = 1 - 0.2946 = 0.7054

First, we need to calculate the z-score, which represents the number of standard deviations an observation is from the mean. The formula for calculating the z-score is:

z = (x - μ) / σ

Where:

x = the value we want to find the probability for (in this case, $40)

μ = the mean of the distribution ($30)

σ = the standard deviation of the distribution ($18.20)

Calculating the z-score:

z = (40 - 30) / 18.20 ≈ 0.5495

Next, we need to find the probability associated with the z-score. Using a standard normal distribution table or calculator, we can find the probability that a z-score is greater than 0.5495, which is approximately 0.2946.

Therefore, the probability that a stock price of a company will be more than $40 is approximately 0.2946 (to 4 decimals).

(b) To find the probability that a stock price of a company will be less than $20, we follow a similar process.

Calculating the z-score:

z = (20 - 30) / 18.20 ≈ -0.5495

Using a standard normal distribution table or calculator, we find the probability that a z-score is less than -0.5495, which is approximately 0.2946.

However, since we want the probability that the stock price is less than $20, we need to subtract this probability from 1, as the standard normal distribution table gives the probability of being less than a given value. So:

Probability = 1 - 0.2946 = 0.7054

Therefore, the probability that a stock price of a company will be less than $20 is approximately 0.7054 (to 4 decimals).

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A market is served by a two firm oligopoly selling differentiated products. One sells luxury items while the other specializes in a lower quality alternative. Each must decide on a low or high price strategy. The payoff matrix is given as follows:Low Quality/LuxuryHigh PriceLow PriceHigh Price110, 100105, 60Low Price125, 50110, 40a) If the game is played simultaneously, what is the outcome?b) Does the outcome change if the game is played sequentially?c) If the firms collude, is the outcome sustainable?

Answers

In this two-firm oligopoly, both firms sell differentiated products, with one offering luxury items and the other offering lower quality alternatives. They need to decide on a low or high price strategy. The given payoff matrix is:


Low Quality
High Price  Low Price
Luxury    High Price  110, 100    105, 60
Low Price  125, 50    110, 40

a) When the game is played simultaneously, the outcome is determined by the Nash Equilibrium. In this case, both firms choose a high price strategy, resulting in a payoff of (110, 100). This is because each firm, when considering its competitor's strategy, has no incentive to deviate from the high price.

b) If the game is played sequentially, the outcome may change. The first firm to move will consider the possible reactions of the second firm, and the second firm will make its decision based on the first firm's action. This could lead to a different outcome depending on the sequence of moves, as each firm anticipates the other's response.

c) If the firms collude, they could potentially reach a higher joint payoff. However, the sustainability of this outcome depends on their ability to maintain the collusive agreement. In this case, the collusive outcome may not be sustainable, as each firm has an incentive to deviate and lower their price to capture a larger market share. This could result in a price war, reducing the payoffs for both firms.

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To examine
the weekly payroll of all employees, one would look at the:

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To examine the weekly payroll of all employees, one would look at the: d. payroll register.

What is the payroll register?

The payroll register is a book or record that is used to fill in the details of all the employees and their payment logs. A record of this register is often kept in good condition in case of any future discrepancies that will have to be resolved.

A person who wants to examine the weekly payroll of all employees in an organization must be able to look at the payroll register to know what is obtainable. There, he would find the names of the employees, their job roles and payment record.

Options:

a. W-4

b. employee earnings record

c. W-2

d. payroll register.

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What is the net change in non-cash working capital that would appear on the cash flow statement given the following: i) Increase in cash of $500 ii) Increase in accounts receivables of $800 ii) Decrease in inventories of $350 iv) Decrease in prepaid expenses of $225 v) Increase in PP&E of $950 vi) Increase in accounts payable of $400

Answers

Answer:

$175

Explanation:  

The change in non-cash working capital that would appear on the cash flow statement is calculated as:      

Increase in accounts receivable                              -$800

Decrease in inventories                                             $350

Decrease in prepaid expenses                                  $225

Increase in accounts payable                                    $400                              

                                                                                  ______                    

Change in Non-Cash Working Capital  --)                  $175

Hope my answer is helpful :)

The net change in non-cash working capital that would appear on the cash flow statement is $175.

Increase in accounts receivable                              ($800)

Add Decrease in inventories                                    $350

Add Decrease in prepaid expenses                         $225

Add Increase in accounts payable                           $400                        

Change in Non-Cash Working Capital                      $175

Inconclusion the net change in non-cash working capital that would appear on the cash flow statement is $175.

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Legal authorization by a brand owner to allow another company to "rent" its brand name for a fee is called

Answers

Answer:

The appropriate answer is "License agreement".

Explanation:

A written agreement only between various firms where a property owner allows perhaps another entity throughout accordance with a certain set of requirements called a license agreement.In so far as it has jurisdiction, the consequence including its license is to terminate or ease the ruling of conflict. It should be the presumption that perhaps the license should be a province of security.

The management of Titan Tire Company has determined that the quantity demanded x of their Super Titan tires per week is related to the unit price p by the equation:
x=sq root(144-p) where p is measured in dollars and x in units of a thousand.
a)Compute the elasticity of demand when p=63,96, and 108.

Answers

Given information: The management of Titan Tire Company has determined that the quantity demanded x of their Super Titan tires per week is related to the unit price p by the equation x = √(144 - p) where p is measured in dollars and x in units of a thousand.

The elasticity of demand is defined as the percentage change in the quantity demanded of a good in response to a percentage change in the price of that good. Mathematically it is given by: E(p) = (p/x) * (dx/dp), where E(p) is the elasticity of demand, p is the price, and x is the quantity demanded. dx/dp is the derivative of x with respect to p. It represents the rate of change of x with respect to p. When p = 63: x = √(144 - 63) = √81 = 9. Therefore, the quantity demanded is 9000 units (since x is in thousands). When p = 96: x = √(144 - 96) = √48 = 6.93 (approx). Therefore, the quantity demanded is 6930 units (since x is in thousands). When p = 108: x = √(144 - 108) = √36 = 6. Therefore, the quantity demanded is 6000 units (since x is in thousands). Given information: x=sq root(144-p) where p is measured in dollars and x in units of a thousand.

A) Compute the elasticity of demand when p=63,96, and 108.At p=63Given information: x=sq root(144-p) At p=63, x=√(144-63)=9. E(p) = (p/x) * (dx/dp)By differentiating x with respect to p we get dx/dp as follows;dx/dp=-1/(2√(144-p)). Substituting the value of x and dx/dp in the formula for E(p), we get;E(p)=p/x * dx/dp = (63/9)*(-1/2√81)= -0.35At p=96Given information: x=sq root(144-p) At p=96, x=√(144-96)=6.93. E(p) = (p/x) * (dx/dp)By differentiating x with respect to p we get dx/dp as follows;dx/dp=-1/(2√(144-p)). Substituting the value of x and dx/dp in the formula for E(p), we get;E(p)=p/x * dx/dp = (96/6.93)*(-1/2√48)= -0.77At p=108Given information: x=sq root(144-p) At p=108, x=√(144-108)=6. E(p) = (p/x) * (dx/dp)By differentiating x with respect to p we get dx/dp as follows;dx/dp=-1/(2√(144-p)). Substituting the value of x and dx/dp in the formula for E(p), we get; E(p)=p/x * dx/dp = (108/6)*(-1/2√36)= -0.9Therefore, the elasticity of demand is -0.35 at p=63, -0.77 at p=96, and -0.9 at p=108.

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Which types of investments are securities? Debt or equity?

Answers

Answer:

Securities are commonly thought of as tradable financial assets Equity securities common stocks Fixed income investments, including debt securities like bonds notes and money market instruments. Some fixed income investments such as certificates of deposit CDs may not be securities at all

Explanation:

your client, shelby, a veteran using a va loan to finance her purchase, just learned that the crv came in lower than the sales price. but no problem: shelby’s brother is willing to loan her the difference. if the loan is approved, .

Answers

Shelby's debt-to-income ratio must still be less than the VA's limit. The VA will investigate any windfalls. Gifts are fine, but debts will be assessed based on how they affect the borrower's debt-to-income ratio.

Your debt-to-income ratio (DTI) is calculated by dividing your total monthly debt payments by your gross monthly income. This figure is one way lenders assess your ability to manage monthly payments in order to repay the money you intend to borrow. Having good credit and the appropriate ratios can lead to mortgage approval. If the debt is on the higher end of an acceptable range, the lender may increase the interest rate to compensate for the additional risk of a marginal borrower.

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The question was incomplete. Check below the full question.

Your client, shelby, a veteran using a va loan to finance her purchase, just learned that the crv came in lower than the sales price. but no problem: shelby’s brother is willing to loan her the difference. if the loan is approved. Is Shelby's debt-to-income rate more or less than the VA's limit?

an engineer invests $6,000 at the end of every year for a 40-year career. if the engineer wants $1 million in savings at retirement, what interest rate must the investment earn? a. 6.3% b. 4.3% c. 8.3% d. 10.3%

Answers

In order to accumulate a savings of $1 million within a 40-year time frame with an annual contribution of $6,000, the engineer must secure an interest rate of 8. 3%

How to solve

This can be calculated using the following formula:

Future Value = Present Value * (1 + Interest Rate)^Number of Years

In this case, the future value is $1 million, the present value is the annual investment of $6,000, and the number of years is 40. Plugging these values into the formula, we get:

$1,000,000 = $6,000 * (1 + Interest Rate)^40

Solving for the interest rate, we get:

Interest Rate = \((1,000,000 / 6,000)^(1/40) - 1 = 8.3\)%

Hence, in order to accumulate $1 million after 40 years by investing $6,000 annually, the engineer must achieve an interest rate of 8. 3%

Answer: c. 8.3%

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Look around your room or in your house and find five different objects and identify where they were made. In at least 100 words, discuss how you have personally benefited from trade and provide at least 2 examples. Identify 1 positive impact of trade on your life and 1 way that you have been negatively impacted also.

Answers

Answer:

As I look around my house I find a pocket watch that has helped me tell time, a handy knife that saved my but while camping, a flashlight that helps me see in the dark, and books that I read to allow my mind to wonder. I’ve even got a feather pen I use to write down important notes. Each of these items required trade in order to receive. I traded an old knife for the pocket watch, a few books for new books, and so on with the other items. Trading is a form of giving to receive and can be used to get someone you want from someone else who wants something you have. However trading isn’t that easy due to the fact of poor trades such as a trade I once did for a hammer, I traded a spool of wire for the hammer only to realize that I needed the wire more then the hammer. Not all trade is bad though because it can also benefit you by getting you something better and even someone else something they need. That is the importance of trade.

Explanation:

The opportunity cost of watching a movie will be equal to;
А) The time lost while watching the show
B)The pleasure that could have been enjoyed watching TV instead
С )The pleasure enjoyed by watching the show
D) The amount paid to buy the tickets​

Answers

Answer:

А) The time lost while watching the show

Explanation:

Opportunity cost is the value of the next-best alternative when a decision is made; it's what is given up.

A and D seems correct, but the wording on D makes A the better answer.

Question 3 of 10
Which situation would most likely be covered by long-term disability
insurance?
OA. Elena takes six months off of work after having a second child.
B. Diego takes three months off of work to help care for his aging
father.
C. Omar misses three days of work after having an accident on the
job.
D. Victoria misses work for nine months after suffering a bad injury.

Answers

Answer:

The situation that is most likely to be covered by long-term disability insurance is option D, where Victoria misses work for nine months after suffering a bad injury. Long-term disability insurance is designed to provide income replacement for an extended period of time in the event that an individual becomes unable to work due to a serious illness or injury. In this case, Victoria's injury has caused her to miss work for a significant length of time, which would likely qualify her for long-term disability insurance benefits.

Option A, where Elena takes six months off of work after having a second child, would not typically be covered by long-term disability insurance, as this is a planned absence from work and not due to an unexpected illness or injury.

Option B, where Diego takes three months off of work to help care for his aging father, would also not be covered by long-term disability insurance, as this is a personal leave and not due to a disability or injury that prevents him from working.

Option C, where Omar misses three days of work after having an accident on the job, is a short-term absence and would not typically be covered by long-term disability insurance, which is designed to provide coverage for extended periods of time.

You are told that if you invest $11,000 per year for 23 years( all payments made at the end of each year) you will have accumulated $366,000 at the end of the period What annual rate of return is the investment offering.

Answers

Answer:

3.2%

Explanation:

this is an ordinary annuity:

future value of an ordinary annuity = annual payment x future value annuity factor

$366,000 = $11,000 x future value annuity factor

future value annuity factor = $366,000 / $11,000 = 33.2727

you can solve this in two ways:

the first is with a lot of math work in order to solve the following equation

33.2727 = [(1 + i)²³ - 1] / i

or

you can use an annuity calculator (available online) which will yield 3.2%

You are faced with the probability distribution of the HPR on the stock market index fund given in Spreadsheet 5. 1 of the text. Suppose the price of a put option on a share of the index fund with exercise price of $110 and time to expiration of 1 year is $12, and suppose the risk-free interest rate is 6% per year. You are contemplating investing $107. 55 in a 1-year CD and simultaneously buying a call option on the stock market index fund with an exercise price of $110 and expiration of 1 year

Answers

The combined value in the other three cases will be the ending value of CD = $114.

At a risk-free interest rate of 6% per year, we are putting $107.55 in a CD for one year.

We will therefore collect both the face value and the interest on the loan at the end of the year.

Hence, the CD's final value is equal to 107.55 times 1.06 (6% interest) or $114.003 ($114).

The closing price of the stock is currently $131 due to the strong economic climate. Hence, in this instance, we will execute our call option at a price of $110 rather than purchasing the stock on the open market.

Hence, the value of our call will be:

Probability * CD expiration value - call option cost

= 0.25*114 - 12 = $16.5

The total value will therefore be $130.5 (114 + 16.5), which is less than the $131 market price.

The final stock price in each of the other three situations is lower than the final CD value. In order to benefit, we will buy the stock from the market at a lower price rather than exercising the call option.

The final value of CD = $114 will equal the total value in the other three scenarios.

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You are faced with the probability distribution of the HPR on the stock market index fund given in Spreadsheet 5.1 of the text. Suppose the price of a put option on a share of the index fund with exercise price of $110 and time to expiration of 1 year is $12, and suppose the risk-free interest rate is 6% per year. You are contemplating investing $107.55 in a 1-year CD and simultaneously buying a call option on the stock market index fund with an exercise price of $110 and expiration of 1 year.

What is the probability distribution of your dollar return at the end of the year? (Round your answers to 2 decimal places.)

Suppose the economy was at full employment gdp and then consumer optimism soars. if automatic stabilizers are in place, the stabilizers will result in:________

Answers

Suppose the economy was at full employment GDP and then consumer optimism soars. If automatic stabilizers are in place, the stabilizers will result in a higher tax collection and lower government spending on transfer payments, which helps slow growth in real Gross Domestic Product.

Gross domestic product is a monetary degree of the market value of all the final items and offerings produced in a particular time period by way of nations. because of its complicated and subjective nature this measure is frequently revised before being considered a dependable indicator.

What is the Gross domestic product formula?

For this reason, Gross domestic product is defined with the aid of the following components: Gross domestic product = intake + investment + government Spending + internet Exports or more succinctly as Gross domestic product = C + I + G + NX where consumption (C) represents non-public-intake expenses with the aid of households and nonprofit corporations, investment (I) refers to commercial enterprise expenses

How does Gross domestic product affect the economic system?

While Gross domestic product boom is powerful, firms rent more employees and may have the funds for to pay better salaries and wages, which leads to extra spending by purchasers on items and services. corporations also have the confidence to make investments more while economic growth is powerful, and funding lays the muse for economic increase within the future.

Is high or low Gross domestic product higher?

In huge terms, an boom in real Gross domestic product is interpreted as a sign that the economic system is doing properly. when real Gross domestic product is growing strongly, employment is probable to be increasing as organizations hire greater employees for their factories and people have extra money in their pockets.

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fid the higest common factor of
21a²b and 49ab² ​

Answers

Answer:

7ab

Explanation:

21a²b = 7ab * 3b

49ab² = 7ab * 7b

Who can provide me some examples of businesses?​

Answers

Answer:

hi!

Explanation:

you should plan out your bisnuse ! and get your invitory try making cards hope this helps!

How does decreasing your credit card balance affect your income statement? (1 point)

It increases your monthly expenses, increasing the amount you spend each month.
It increases your monthly expenses, giving you more money to spend on other things.
It decreases your monthly expenses, increasing the amount you spend each month.
It decreases your monthly expenses, giving you more money to spend on other things.

Answers

The way in which decreasing your credit card balance would affect your income statement is that: D. It decreases your monthly expenses, giving you more money to spend on other things.

What is a credit card?

A credit card simply refers to a small, rectangular flat card that is issued by a financial institution to its eligible customers, in order to avail them an opportunity to purchase goods and services on credit, especially based on the agreement that this amount of money would be paid back at a specific time and interest rate.

Generally speaking, a credit card balance can be defined as the total amount of money that an individual owe his or her credit card company. This ultimately implies that, a decrease in credit card balance would cause a decrease in monthly expenses, which avails the credit card holder more money to spend on other things.

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Answer: 1. a loan from one entity electronically matched to another entity without a financial institution in the middle

2. a payday loan

3. an unsecured installment loan

4. It decreases your monthly expenses, giving you more money to spend on other things.

5. Determine or estimate the current value of everything you own.

6. Their ability to repay a loan

7. your prior record of paying your bills and paying off your debts

8. your age and gender

9. You can request one online or over the phone.

10. He should contact the credit bureau that issued the credit report, the companies that issued the seven fraudulent cards, his local police, and the federal government at identitytheft.gov.

11. -the lender that provided the incorrect information

-the credit bureau that prepared the report

12. right away

13. She won a $20 billion settlement for California homeowners whose homes were inappropriately foreclosed on.

14. The longer the term, the more you will pay in interest.

15. It will cost you less money overall.

16. A store credit card generally comes with a higher interest rate.

17. You will save money if you pay the balance off quickly.

18. -Clarifying the confusing language found on credit card applications.

-Forcing lending companies to disclose interest rates and hidden fees.

19. It banned credit card companies from raising interest rates after missed payments.

20. -a fixed annual charge for the use of a credit card

-a charge if the minimum payment is not paid by the due date

21. paying off the balance before interest can accrue

22. $30

23. Determine which card has the higher interest rate and pay the extra money to that card first.

Explanation: All these answers are correct!

A small business earns a profit of $6500 in January and $17,500 in May. What is the rate of change in profit for this time period? Explain.

Answers

The rate of change in profit for this period is 169.23%.

What is the rate of change?

The rate of change shows the ratio or proportionality by which a value changes in relation to another.

We can determine the rate of change by dividing the difference in value by the former value and multiplying the quotient by 100.

Profit earned in January = $6,500

Profit earned in May = $17,500

Change in profit = $11,000 ($17,500 - $6,500)

Rate of change = 169.23% ($11,000/$6,500 x 100)

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In the united states for the year​ 2020, the federal government had a​ ________ so the national debt was​ ________.

Answers

In the united states for the year​ 2020, the federal government had a​ budget deficit so the national debt was​ increasing.

What is National debt?

The ratio of the country's debt to its GDP, or debt-to-GDP, is typically considered to be more significant than the nominal quantity of the national debt in dollars. This is due to the fact that as a nation's economy develops, so does its tax base, increasing the amount of money the government can collect to pay down its debt.

Additionally, economic expansion tends to raise interest in government bonds. The net savings of individuals and businesses are accommodated by public borrowing, which satisfies their need for safe assets—debt instruments that are anticipated to maintain their value over time.

What the federal government owes creditors, including debt owned by the general public and federal trust funds, is known as the national debt of the United States. As of October 2022, the U.S. national debt was at $31.1 trillion, a record high.

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automatic stabilizers can do which of the following? automatic stabilizers can do which of the following? aid the economy to move away from the full-employment output level allow policymakers to formulate a set of rules flexible and comprehensive enough to eliminate discretionary actions cause tax revenue to decrease when gross domestic product (gdp) decreases and to increase when gdp increases allow policymakers to prescribe public works programs during inflationary periods because expenditures for unemployment and welfare have correspondingly decreased offset the destabilizing influence of changes in tax revenue

Answers

Automatic stabilizers can do the following: offset the destabilizing influence of changes in tax revenue and aid the economy to move away from the full-employment output level. Additionally, automatic stabilizers can cause tax revenue to decrease when gross domestic product (GDP) decreases and increase when GDP increases.

What are automatic stabilizers?Automatic stabilizers refer to a fiscal policy tool that is primarily used by governments to stabilize economic fluctuations. It is an automatic fiscal policy that takes effect as the economic cycle moves up or down, without the need for a political decision. It is also a budgetary instrument that is designed to counterbalance changes in the economy in the absence of any direct action by policymakers. There are two types of automatic stabilizers which are tax policy and spending programs.What is the importance of automatic stabilizers?The importance of automatic stabilizers is that they can stabilize the economy without discretionary fiscal policy actions. The role of automatic stabilizers is that they can reduce the severity of economic downturns and promote economic growth, while at the same time minimizing the negative effects of business cycles. They can help in achieving full employment in the economy and promote income stability.In conclusion, automatic stabilizers can do the following: aid the economy to move away from the full-employment output level, allow policymakers to prescribe public works programs during inflationary periods, offset the destabilizing influence of changes in tax revenue, and cause tax revenue to decrease when GDP decreases and to increase when GDP increases.

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The longer a goal takes to be realized the more likely it is to be successful. False True

Answers

Answer:

false

Explanation:

faulse because any thing can be successful if you put your mind to it.

Explanation:

. __________ are identifiable characteristics that define a
person
A. Moral influencers
B. Personality traits
C. Embodied behaviors
D. Charismatic traits

Answers

The answer is B. Personality traits. Personality traits are identifiable characteristics that define a person. These traits are enduring patterns of thoughts, feelings, and behaviors that shape how individuals perceive and interact with the world around them.

Personality traits can include a wide range of characteristics such as extraversion, agreeableness, conscientiousness, openness to experience, and emotional stability. For example, someone who is extraverted tends to be outgoing, social, and energetic, while someone who is introverted may be more reserved and reflective.

It is important to note that personality traits are not fixed and can vary across different situations and contexts. Additionally, individuals may possess a combination of different personality traits, which contribute to their unique personality.

Understanding personality traits can help us gain insights into how individuals behave, make decisions, and interact with others. It also provides a framework for studying and analyzing human behavior.

In summary, personality traits are identifiable characteristics that define a person. They encompass enduring patterns of thoughts, feelings, and behaviors that shape individuals' unique personalities.

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now watch me wip watch me nae nae watch me wip wip now watch me nae nae

Answers

Answer:

Please stop this is a learning based website

Explanation:

Answer:

yes

Explanation:

Which of the following decisions is most likely to create a temporary diseconomy of
scale? (Select the best answer.)
A)Buying supplies in bulk
B)Buying an expensive piece of machinery
C)Hiring employees who specialize
D)Using division of labor

Answers

Answer:

Buying an expensive piece of machinery

Explanation:

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