Legislative acts that are approved by the executive branch constitute statute law.
What is the meaning of statutory law?Statutory law is defined as a rule of law created by a legislative act that has been approved by the executive. Acts are approved by Congress and signed by the President of the United States to become federal statutory law.
Statutory law can be found in either codified laws or collections of statutes. The wording of the codes and compilations is the same, but their formats are different.
There are four principles for interpreting statutes: literal rule, golden rule, mischief rule, and purposeful method.
Major constitutional amendments are made using the statute law process. A Statute Law can only be repealed by Parliament due to Parliamentary Sovereignty, which prevents any other method of repeal.
Therefore, the answer is Statutory law.
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Use the process flow diagram to determine which of these events has the greatest net benefit Station A 1 worker 8 minutes Station B 1 worker 7 units/hr Station C 1 worker 6 units/hr Station D 1 worker 9 minutes. O A. reducing the flow time at Station D from 9 to 8 minutes O B. increasing the capacity at Station B to 8 units per hour O C. increasing the capacity at Station C to 7 units per hour O D. reducing the flow time at Station A from 8 to 7 minutes
The correct answer to the given question about process flow diagram has the greatest net benefit Station A is option C) increasing the capacity at Station C to 7 units per hour.
A process flow diagram (PFD) is a sort of flowchart that shows how important parts of an industrial facility relate to one another. It is used to model new processes, enhance existing ones, and document existing ones. It may also be known as a Process Flow Chart, depending on its purpose and content. They use a variety of symbols and notations to represent a process. Equipment numbers and brief (a few words) descriptions are frequently included on PFDs, along with material and energy balances, equipment sizes (often rough or preliminary), building materials, flow direction arrows on pipelines, and simplified key process control loops. A project's net benefit is calculated by adding up all of its advantages and deducting all of its expenditures. Unlike the relative metrics supplied by the B/C ratio, this output provides an absolute amount of benefits (total dollars). Projects with comparable B/C ratios can be ranked using net benefit.
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What is the significance of the wealth gap?
The racial wealth gap refers to the disparity in assets of typical households across race and ethnicity.
What is mean by wealth gap?The term “wealth gap” refers to the gap in earnings between two groups such as the 1% and the 99%, white and black Americans or, more broadly, the haves and the have-nots. The wealth gap, on the other hand, gets at assets and net worth (assets minus debts), rather than looking at just income. Whereas the wage gap is the difference in earnings from labor among different races and ethnicities, the wealth gap describes the disparity of cumulative assets across races and ethnicities. This disparity results from differences in income and in the historical accumulation of assets across generations. The term reflects disparities in access to opportunities, means of support, and resources.
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What will happen over time if a firm uses its overall WACC to evaluate all projects, regardless of each project's risk level
Accepting project that should be rejected and rejecting initiatives that should be accepted by your organization increases your overall risk.
A project is any action, perhaps by research or design, by an individual or group that is specifically designed to achieve a specific goal. Another perspective considers a project as a series of actions that must be completed over a specified period of time and under specified financial and other constraints.
A project can function as an ad-hoc system or as part of a larger program. It should be emphasized that open source software "projects" and musician music "projects" may not have a clear team structure, extensive preparation, or time constraints.
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How does contractionary policy affect unemployment?
Contractionary fiscal policy prevents the unemployment rate from falling below optimal levels, keeping it at what economists refer to as "full employment," or when unemployment reaches its lowest point without causing inflation.
What exactly is contractionary policy?
As part of a contractionary policy, a central bank's rate of monetary expansion must be reduced, or government spending, particularly deficit spending, must be reduced.
Raising interest rates, increasing the minimum reserves required of banks, and selling government securities are the three primary methods used by the Federal Reserve to reduce the money supply. Higher interest rates increase the cost of borrowing money, discouraging customers from purchasing certain goods and services and reducing business investment in new machinery. Contractionary monetary policy seeks to slow or even halt economic growth in order to prevent inflation.
It essentially slows growth by raising interest rates and tightening the money supply. Contractionary policy is used to control inflation. An expansionary fiscal policy is implemented when the government lowers tax rates while increasing spending to stimulate economic growth. As a result of increased purchasing power, consumption rises. A contractionary monetary policy is one in which the central bank manages and directs interest rates within an economy in order to increase the money supply.
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Which of the following is not an example of price discrimination by a firm?
a. children's meals at a restaurant
b. a natural gas company charging customers a higher rate in the winter than in the summer
c. a senior citizens' discount
d. coupons in the Sunday newspaper
A gas supplier that charges clients more throughout the winter than during the summer. As a result, choice (B) is the appropriate reaction.
What is price discrimination?A selling tactic known as price discrimination involves charging clients various rates for the same good or service depending on what the vendor believes they can persuade the customer to accept.
When a merchant uses pure price discrimination, they charge each consumer the highest price they will agree to. In more prevalent types of price discrimination, the supplier divides clients into groups based on particular characteristics and assesses a different price to each group.
Hence, option (B) is accurate.
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the federal government's role as the provider of national defense is justified by considerations of_____
the federal government's role as the provider of national defense is justified by considerations of Public goods.
Public goods are of philosophical interest because they have a close relationship to issues with the regulation of externalities and the free-rider problem, as well as because their provision is, in varying degrees, necessary to the efficient operation of society on an economic, political, and cultural level. Without infrastructure and their protection, it would be more difficult to exchange things, cast ballots, or enjoy the pleasures of cultural development. Political theorists generally concur that education at some degree is necessary for democracy to function. The provision of public goods presents significant economic and ethical problems because of its relationship to externalities and the free-rider dilemma.
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The date that SIPC uses to value securities for purposes of insurance coverage limits is the date that the:
The filing date by SIPC to serve as the trustee in the failing broker-bankruptcy dealer's is the valuation date for coverage purposes in a SIPC liquidation.
Insurance recovery from unforeseen catastrophes like vehicle accidents or the death of an adult family supporter is made possible for customers by insurance coverage. The insured person pays an insurance company a premium in return for this coverage. Insurance pricing and coverage are frequently influenced by a number of variables. The insurance business manages risk through premiums. An insurance provider can reduce the risk by raising the premium when there is a larger chance that they will have to pay money toward a claim. For instance, most insurance companies charge younger male drivers more premiums because they believe that they are more likely to get in an accident than, say, a middle-aged married guy with years of driving experience.
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Franklin Manufacturing provided the following information for month ended March 31:
Sales revenue: $15,000
Beginning finished goods inventory: $9,000
Ending finished good inventory: $10,500
Cost of goods manufactured: $17,600
Compute cost of goods sold.
Franklin Manufacturing provides the cost of goods sold is $16,100 with a Sales revenue: $15,000
What is sales revenue?Before any costs are subtracted, sales revenue is the income from goods and services.Sales revenue is typically calculated over a specific time frame, such a fiscal year or quarter.Net sales in accounting and financial accounting refer to operating revenues received by a business from the sale of its goods or provision of its services.Sales revenue are directly recorded on the income statement as Sales or Net sales and are also referred to as revenue.Due to its role in calculating the company's gross margin—the difference between revenue and cost of goods sold—gross margin expense is significant. The net is also computed using it.The following formula can be used to determine the cost of products sold: Cost of goods sold is calculated as follows: Cost of goods manufactured - Ending finished goods inventory
Cost of goods sold in this instance is $16,100 ($9,000 + $17,600 - $10,500).
So, for the month that ended on March 31, Franklin Manufacturing's cost of goods sold was $16,100.
The cost of goods sold, which in this case refers to the month ended March 31, shows the cost related to the goods that have been sold over a given period.
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during the early 1980s, ____ word processors competed for market share.
During the early 1980s, several word processors competed for market share.
What is Market Share?
Market share is the percentage of a market (typically sales revenue) that a specific entity accounts for. It is calculated by dividing the entity's sales over a period of time by the total market sales during that period. Market share is a metric used to assess a company's performance in comparison to its competitors. For example, if a company has $100 million in sales in a given market and the total market sales for that period are $1 billion, it has a 10% market share.
What is Total Market?
Total Market is an investing strategy that seeks to capture the performance of the entire stock market, rather than just a single sector or index. This strategy involves buying a broad range of stocks in different sectors and markets, with the goal of diversifying one’s portfolio and reducing risk. By investing in many different stocks, the investor is better protected against any single stock’s performance. Total Market strategies are often used by investors who are looking to take a passive approach to investing, as they require less research and fewer decisions than more active strategies.
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Alan is an hourly worker who earns $10.50 per hour and is paid overtime for any time over 40 hours per week. During a weekly period, he worked the following hours: Day In Out In Out Monday 7:53 12:04 13:15 17:25 Tuesday 7:42 11:30 12:35 16:45 Wednesday 7:48 12:35 13:28 17:25 Thursday 8:08 12:22 13:45 17:37 Friday 7:35 12:13 13:15 16:42 What is his gross pay for the week using both quarter-hour and hundredth hour methods
Pay per hour = $10.5 i.e., 10.5/4 = $2.625 per quarter-hour, Total Quarter Hour pay = $225.750 + $ 202.125 = $427.88 and 1 hour = $10.5 Total pay as per Hundredth hour = $227.010 + $205.905 = $432.92.
A payment is the voluntary offer of money or its equivalent or of valuable objects by one party to another in return for products or services given by them, or to satisfy a legal obligation. The person making the payment is known as the payer, and the party receiving the money is known as the payee.
Payees are generally free to choose the form of payment they choose, while most regulations require the payer to accept the country's legal cash up to a certain maximum. Unless the parties agree differently, payment is typically made in the payee's native currency.
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an example of a capital good is ____________.
Answer: Vehicle(s)
Explanation: Capital goods are all man-made, if they aren't naturally occurring it is often that they are a capital good
lbert uses FedEx in a scheme to defraud Global Sales Company by obtaining merchandise to which he is not entitled. -Found guilty of mail fraud, Elbert can be punished by jumprisonment for up to fifty years. b. imprisonment for up to twenty years and/or fines. Pages c. fines up to $5 million, d. none of the choices.
Elbert uses FedEx in a scheme to defraud Global Sales Company by obtaining merchandise to which he is not entitled. -Found guilty of mail fraud, Elbert can be punished by none of the choices.
According to the given statement Elbert is found guilty of mail fraud. He cannot be punished by imprisonment up to fifty years or imprisonment for up to twenty years or a fine upto $5 million.
When someone intends to commit postal fraud by delivering something that involves fraud through the mail, they are breaking the law. The use of a physical or electronic mail system to defraud another is referred to as "mail fraud" or "wire fraud" in the United States, where it is a federal crime. The federal government asserts jurisdiction if the illicit behavior spans national or international boundaries.
According to the question, Elbert utilizes FedEx to cheat Global Sales Company by receiving goods to which he is not legally entitled. In this situation, mail fraud will result in a maximum 20-year jail sentence and/or financial penalties.
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Quick Brandon has just been appointed CEO of his company and as he accepts the position he is required to hold a meeting. He has to present some information about his plans moving forward to the entire company. Which of these would best assist him in this task?
A.Spreadsheet software
B.Presentation software
C.Point of sales system
D.Analytics software
Answer:
B. presentation software
Explanation:
which of these actions would most likely decrease a person’s net worth for at least the next 6 months?
Buying a new car in cash would most likely decrease a person’s net worth for at least the next 6 months.
This is because buying a car in cash requires the person to liquidate assets such as investments, savings accounts, or other assets to pay for the car. This liquidation of assets would result in a decrease in the person’s net worth. In addition, the car is an illiquid asset that may not appreciate over the next 6 months, resulting in an overall decrease in the person’s net worth.
Therefore we can say that buying a new car will decrease a person's net worth.
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The correct question should be, which of these actions would most likely decrease a person’s net worth for at least the next 6 months? Buying a car or building a rented house?
You are managing a software project with limited development resources. The QA department has discovered a large number of defects in the product, and the project sponsor is very concerned about this. You want to get the maximum number of defects repaired with minimal effort. Which quality-control tool are you going to use before you direct the efforts of the project team to fix specific problems?
In this scenario, I would use a Pareto chart as the quality-control tool before directing the efforts of the project team to fix specific problems.
A Pareto chart is a graph that shows the relative frequency of defects in descending order, with the most frequent defects at the top. This allows you to quickly identify which defects are the most critical and need to be fixed first, as they are causing the most problems. By focusing on these high-priority defects first, you can get the maximum number of defects repaired with minimal effort.
Additionally, Pareto charts are relatively simple to create and understand, making it easy to communicate the results to the project sponsor and the rest of the team. This can help to build support and buy-in for the effort to fix the defects, which is important for getting the necessary resources and support to complete the work.
Overall, a Pareto chart is an effective quality-control tool to use in this scenario because it allows you to quickly identify the most critical defects and focus on fixing them first, maximizing the number of defects repaired with minimal effort. It also helps to build support and buy-in for the effort.
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What is paige’s net income for december?
a. $900
b. $950
c. $1,850
d. $2,750
Paige made $900 in net income in December.
How much is net income?Operating income is the entire amount of money that a person or company made over a specific time period after deducting taxes, costs, and interest. A company's net income, which can also be called to as operating revenue, net earnings, or just profit, calculates its profitability.
How is net income determined?Minus expenses, such as interests and taxes payments from the gross revenue which is the amount of money produced. Net income for individual is the amount that really receive from their paycheck each month as opposed to gross amount they are paid including payroll deductions.
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How long will it take for the population of a certain country to triple if its annual growth rate is 7.9%
It will take t = 30.5 years (thirty and a half years) for the population of a certain country to triple if its annual growth rate is 7.9%
The average annual growth rate (AAGR) is the average rise or fall in the value of a portfolio, cash flow, or investment asset over a given time period. The AAGR is calculated by averaging the provided year-over-year growth rates. Any investment can have its AAGR evaluated, but this won't reveal anything about the investment's potential risk, which is decided by price changes. AAGR is a standard for calculating the annualised average return on investments over a range of time periods. This number can be found in the prospectus for a mutual fund as well as brokerage statements. The simple average of a number of periodic return growth rates is essentially what it is.
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In marketing terms, when you hire someone to clean your house, this is an example of a(n) (good/service/idea).
If you own a house cleaning business, you've definitely thought about this when a customer seems to want more of you than was first agreed upon. In this article, you'll learn how to sell commercial cleaning services to fulfill demand.
How do we define your customers?One who purchases goods or services from another company is referred to as a customer. Because they generate revenue, customers are crucial to businesses because they allow them to survive.
Customers fall into five categories.Customers that frequent stores but typically rely their purchases on markdowns are known as discount customers. Customers who buy based on need: People who want to purchase a particular good. Customers who are uncertain about their purchases are said to be wandering.
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Which stage of the product life cycle requires marketers to pay particular attention to the distribution of their product
The answer is Growth Stage.
The growth stage of the product life cycle requires marketers to pay particular attention to the distribution of their product. During this stage, it is important for marketers to ensure that their product is widely available in the right outlets to maximize sales.
Additionally, the brand should be visible in the right channels to reinforce its presence and create a strong connection with the target audience.
In the growth stage, the brand should focus on expanding its reach within existing distribution channels and explore the possibility of entering new channels. Furthermore, they should ensure that their product is accessible to customers, either through physical stores or online platforms.
Additionally, it is important to focus on understanding the customer’s needs when it comes to product availability and distribution. By doing so, the brand can ensure that their product is widely available and easily accessible to their target audience.
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Which of the following would be considered an Other Comprehensive Income item? Gainon disposal of discontinued operations Net income Unrealized loss on available for a securities Other revenues and gains
Gain on disposal of discontinued operations would be considered an Other Comprehensive Income item.
Other Comprehensive Income (OCI) is a separate component of a company's equity that includes certain non-recurring items and changes in the value of certain assets and liabilities that are not included in net income. Examples of items that are commonly included in OCI are:Gains and losses on investments in securities that are classified as available-for-sale. Foreign currency translation adjustments. Unrealized gains and losses on certain derivative instruments.Gains or losses from the remeasurement of certain defined benefit pension plans and other post-employment benefit plans.Reclassification adjustments for certain items that were previously included in OCI but are now reclassified to net income.Gains or losses on the disposal of discontinued operations.Net income, unrealized loss on available for sale securities and Other revenues and gains would be considered as part of the income statement which is different from OCI.
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Generally, the most important category on the statement of cash flows is cash flows from:
a. non-cash activities.
b. operating activities.
c. financing activities.
d. investing activities.
The most important category of the cash flow statement is usually cash flow from operating activities. This is to give you an idea of the cash generated by your company's core activities.
Option B is correct .
The most important stream category on the cash flow statement is operational cash flow. This category is the main focus of anyone running a business.
Why is the cash flow statement important to shareholders and investors?The cash flow statement (CFS) provides important information about a company. It shows the movement of money inside and outside the company. This helps investors and shareholders understand the company's revenues and expenses.
What is cash flow?Cash flow refers to the net balance of cash entering or leaving a company at any given time. Cash flows in and out of business all the time. For example, when a retailer purchases inventory, money flows from the store to the supplier.
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In 2019, 10 million people did not have a job but were actively looking for employment, and 85 million people had either a full-time or a part-time job. The unemployment rate in 2019 was ____ %
A) 10 B) 9.5 C) 10.5 D) 8.5
The correct answer is B) 9.5%.
The unemployment rate in 2019 was 9.5%.
The rate is calculated by dividing the number of unemployed individuals who are actively looking for employment by the total labor force, including both employed and unemployed individuals. In this case, the calculation would be 10 million unemployed individuals divided by a total labor force of 95 million individuals (10 million unemployed + 85 million employed).
However, it's important to note that this rate doesn't take into account individuals who are not actively looking for employment, such as those who have given up looking or are unable to work. Therefore, it's important to consider other labor market indicators as well to get a more accurate picture of the labor market.
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Brownstein, Inc, expects sales of $99,000 during each of the next 3 monthes. It will make monthly purchases of $62 000 hring this time Wages and salaries are S20 000 per month phr 4% of sal str stein expects to make a tax yment of S21,000 n te next month and a S11,000 purchase of fixed assets in the second month and to receive $7,000 in cash from the sale of an asset in the third month. All sales and purchases are for cash. Beginning cash and the minimum cash balance are assumed to be zero a. Construct a cash budget for the next 3 months b. Brownstein is unsure of the sales levels, but all other figures are certain If the most pessimistic sales figure is $82,000 per month and the most optimistic is 5121,000 per month, what are the monthly minimum and maximum ending cash balances that the firm can expect for each of the 1-month periods? c. Briefly discuss how the financial manager can use the data in parts a and b. To plan for financing needs
Outlining how your money, investments, and other assets might help you reach your financial objectives is the process of financial planning.
How to plan for financing needs?By dividing the retention rate by the return on equity, it is determined. The formula can be used to calculate EFN. Retained earnings minus increased liabilities equals the amount of external financing required. These figures are based on projections for both asset and liability growth.
The two main funding methods are debt and equity. There may be a way to finance specific business needs with government grants. Additionally, there might be incentives to establish a business in a certain area or to promote operations in a particular industry.
Here is a quick list of some typical costs that are associated with needs: Housing. Transportation. The following objectives are examples of potential ones from a financial plan: Eliminate your credit card debt. Set up a budget that you can stick to.
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Smiling Elephant, Inc., has an issue of preferred stock outstanding that pays a $6.20 dividend every year, in perpetuity. If this issue currently sells for $80.70 per share, what is the required return
Smiling Elephant, Inc., has an issue of preferred stock outstanding that pays a $6.20 dividend every year, in perpetuity. If this issue currently sells for $80.70 per share, the required return is 7.68%.
The required rate of return=Annual dividend/Current value
=6.2/80.7
which is equal to
=7.68%(Approx).
Shares are a type of protection that gives stockholders a proportion of possession in an employer. shares also are known as “equities. “A inventory is a well-known time period used to describe the possession certificate of any enterprise. A percentage, on the other hand, refers to the inventory certificates of a specific employer. maintaining a particular enterprise's proportion makes you a shareholder. Description: shares are of sorts—common and desired.
A stock is a sort of investment in an organization. agencies problem inventory shares to raise money that allows you to finance operational desires and to fuel growth, and traders buy the one's stock stocks for the possibility to generate a go back on their funding. A proportion is a monetary instrument that represents the component possession of an organization. An inventory is a financial tool that represents part possession in one or more establishments.
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Paloma is a 16-year-old who babysits for a local family on an occasional basis. During a calendar year, she earned $1,250 in babysitting wages. What is true about Paloma's wages
She received $1,250 from babysitting jobs in a year. The FLSA does not apply to Paloma since she does not make enough money to qualify as a domestic employee.
The Fair Labor Standards Act (FLSA), a piece of civil legislation, establishes minimum wages, eligibility for overtime pay, record-keeping requirements, and child labor laws that are applicable to full- and part-time employees of the private sector as well as of the federal, state, and foreign governments.
The Human Resource Office of each organization uses standards established by the US Department of Labor to calculate the Work Period Designation (WPD) for each employee.
FLSA guidelines provide that in order to qualify for overtime pay, employees must receive overtime compensation and be considered to be on the clock. Workers are either classed as pure or nonexempt under the FLSA.
Only companies engaged in interstate commerce or with monthly sales of $500,000 or more are liable to the FLSA. Since Paloma's annual salary is less than $500,000 ($1,250), she is exempt from the FLSA's requirements.
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The purpose of a building permit is to A) indicate the property is suitable for habitation. B) provide evidence of compliance with municipal regulations. C) show compliance with restrictive covenants. D) maintain municipal control over the amount of building
The correct answer is (D) to maintain municipal control over the amount of buildings. The most common form of land-use regulation, and the best-known one, is zoning.
The zoning regulation is generally developed as a zoning constitution, which is the textbook specifying land use of specific blocks and, indeed, each individual lot within a megacity block. Zoning regulations include lot size, viscosity or bulk, height, and bottom area rate( FAR) specifications.
.
Zoning regulations and restrictions are used by cosmopolises to control and direct property development within their borders grounded on a comprehensive, or master, plan.
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What happens when governments control or dominate a national economy?
In a command economy, the central government dictates the position of the product of goods and controls their distribution and prices.
Proponents of the command economy argue government control rather than private enterprise can ensure the fair distribution of goods and services. Command frugality is a profitable system where the government controls the product and pricing of goods and services.
Also called command frugality. A profitable system where the government has total control over frugality and politics. Also called command frugality. Some of the cons include a lack of effective resource allocation, lack of invention, and the requirements and preferences of society may be ignored due to poor planning.
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making the right choices with your money—managing your money—involves knowing how . . .
This means learning how to pay your bills, how to borrow and save money responsibly, and how and why to invest and plan for retirement.
What Is Financial Literacy?Money management is a personal skill that not everyone learns but one that is beneficial to you throughout your life. It's difficult to constantly make the proper choices when it comes to big purchases and investments because of the money that comes in and goes out, the due dates, finance charges, and fees associated with invoices and bills, as well as the general obligation.
Given how important it is, you would assume that this ability would be taught in high school or even earlier. Unfortunately, this is not the case. Understanding personal credit fundamentally and being willing to accept personal responsibility are prerequisites for managing your own money.
In other words, you avoid drowning in debt and make your payments on time.
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The United Nations reported a list of the three happiest countries in the world. Which are Switzerland,_ Iceland, and Denmark.
Switzerland is the the three happiest countries in the world. According to the World Happiness Report from 2022, Finland was named the world's happiest nation.
On a scale of 0 to 10, the Nordic nation received a 7.82. Denmark and Iceland, two further Nordic nations, came in second and third, respectively. In 2022, Finland is ranked first in the world for happiness. Denmark and Iceland came in second and third, respectively. Switzerland, the Netherlands, Luxembourg, Sweden, Norway, Israel, New Zealand, and the top 10 "happiest" nations in the world were all included in this list. The happiest nation is Finland, and one of the ten countries with the biggest dip is world's.
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Which of the following assertions is not correct about themultilateral approach to free trade?
a. The multilateral approach has the potential to result infreer trade than does the unilateral approach.
b The multilateral approach may have a politicaladvantage over the unilateral approach.
c.the multilateral approacvh is simpler than unilateralapproach.
d.NAFTA and GATT are both multilateral approaches to freetrade
The multilateral approach to free trade - c. the multilateral approach is simpler than the unilateral approach is incorrect statement.
a. The multilateral approach has the potential to result in freer trade than does the unilateral approach.This statement is correct, in a multilateral approach, many countries negotiate and agree on trade agreements together thus it has the potential to result in freer trade among all participating countries than would be possible through a series of bilateral agreements.b. The multilateral approach may have a political advantage over the unilateral approach.This statement is correct, as the multilateral approach can provide a global framework for trade and can be seen as more fair and equitable than a series of bilateral agreements that might be perceived as favoring certain countries.d. NAFTA and GATT are both multilateral approaches to free trade.This statement is not correct, NAFTA is a regional trade agreement between Canada, Mexico and the United States, while GATT (General Agreement on Tariffs and Trade) was a multilateral agreement to reduce tariffs and other trade barriers among many countries.
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