If the government and Central Bank don't use economic policy, what could happen?
A. Prices could skyrocket, making goods more difficult to buy.
B. Unemployment could rapidly rise, making it harder to find a
job.
C. GDP could rapidly fall, creating a recession in the economy.
D. All of the above

Answers

Answer 1

Answer: D. All of the above

Explanation:

Economic policies are the policies athat are out in place by the government in order to control economic activities.

These policies are used to reduce inflation, provide employment opportunities, increase standard of living, encourage economic growth etc.

If the government and Central Bank don't use economic policy, that s cs lead to inflation, increase in unemployment and fall in the GDP.

Therefore, the answer is option D


Related Questions

"In 1962, George Martin, __________, becomes the group's producer, meeting with them for the first time on June 6th of that year."

Answers

Answer:

Beatles entered Abbey Road Studios.

Explanation:

George Martin born in 1926 was fond of music and he started learning piano at the age of six. In 1962 Beatles entered Abbey Studio and they had they debut meeting with the George Martin. The meeting took place in EMI studio in London.

1. What three things can be called an image receptor?

Answers

Image receptor is a device that changes an x-ray beam into a visible image. An image receptor may be a radiographic film and cassette, a phosphorescent screen (used in fluoroscopy or computed radiography), or a special detector placed in a table or a bucky (used in direct digital radiography). I’m not sure if this your answer

g A decrease in aggregate demand will cause prices to fall according to classical economists, and unemployment to increase according to Keynes. prices to fall and unemployment to increase according to both classical economists and Keynes. aggregate supply to fall according to classical economists, and prices to fall according to Keynes. aggregate supply to fall according to Keynes, and unemployment to increase according to classical economists.

Answers

Answer:

prices to fall according to the classical economists and unemployment to increase according to Keynes.

Explanation:

The classical economists believes that a decrease in aggregate demand for goods produced would being about fall in the prices of such goods. What this implies is that as more goods are produced, if such production is not backed by corresponding demand by consumers, the prices of such goods produced will eventually fall because supply is greater than demand.

For the Keynes, their argument is that a decrease in aggregate demand will cause unemployment to increase. This is because owners of businesses or employers would lay off their employees when goods produced exceeds the demand for such production by consumers. Here, owners of businesses pays their employees through sales of goods produced. So, when the goods produced are not purchased, then there will be excess availability of such goods; hence no sale or profit, from which salaries would be paid. The next step is to start laying off employees because employers cannot cover their running costs.

An expansionary monetary policy lowers the real interest rate,
causing the domestic currency to thereby net
exports.

Select one:
a.
depreciate; raising
b.
depreciate; lowering
c.
appreciate; raising
d.
appreciate; lowering

= depreciate; raising​

Answers

A. Depreciate; raising

An expansionary monetary policy lowers the real interest rate, causing the domestic currency to appreciate; net exports will result in a depreciating currency. Hence, Option A is correct.

What is an expansionary monetary policy?

It is a type of macroeconomic monetary policy that aims to increase the rate of monetary expansion. Use of this policy is done to stimulate the growth of the domestic economy.

The operation of the expansionary monetary policy is by either expanding the money supply faster than usual or lowering short-term interest rates. This whole policy is enacted by central banks and comes about through open market operations.

Therefore, Option A is correct.

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Thomas is applying for a social services position with the public school system in his district. Why would it be useful for the school principal to check his credit history? To see whether he has school loans To check the balances on his credit cards To check the interest on his student loans To see if he has any neglected child support responsibilities

Answers

Answer:

The reason that it would be useful for the school principal to check Thomas' credit history is:

To see if he has any neglected child support responsibilities .

Explanation:

Generally, employers are restricted from making employment decisions based on a potential employee's credit history.  This is why they are not allowed to see the balances or the employee's credit score.  However, employers can still lay their hands on important data to ascertain an employee's responsibility to contracted liabilities.

If the market rate of interest is 7%, the proceeds of 6% bonds paying interest semiannually with a face value of $300,000 will be a.equal to $300,000. b.less than $300,000. c.greater than or less than $300,000, depending on the maturity date of the bonds. d.greater than $300,000.

Answers

Answer:

b. less than $300,000

Explanation:

Based on the information given since the proceeds of 6% bonds is lower than 7% market rate of interest which means that it will lead to a discount reason been that discount will often occur in a situation where the cost of bonds

is lower than the bonds face value which simply indicate that the value of the bonds will be lower than the face value of the amount of $300,000.

An investment project has annual cash inflows of $5,000, $6,100, $6,900, and $8,200, and a discount rate of 17 percent. Required:What is the discounted payback period for these cash flows if the initial cost is $8,000

Answers

Answer:

It will take 1.84 years to cover the initial investment.

Explanation:

Giving the following information:

Initial investment= $8,000

Discount rate= 17%

Cash flow:

1= 5,000

2= 6,100

3= 6,900

4= 8,200

The payback period is the time required to cover the initial investment. We need to discount the cash flows using the following formula:

PV= Cf / (1+i)^n

Year 1= (5,000/ 1.17^1) - 8,000= -3,726.5

Year 2= (6,100/ 1.17^2) - 3,726.5= $729.63

To be more accurate:

(3,726.5/4,456.13)= 0.84

It will take 1.84 years to cover the initial investment.

what is the relationship between the securities and exchange chommisison and accounting standard setting in the united states

Answers

Complete Question:

What is the relationship between the Securities and Exchange Commission and accounting standard setting in the United States?

A) The SEC requires all companies listed on an exchange to submit their financial statements to the SEC.

B) The SEC coordinates with the AICPA in establishing accounting standards.

C) The SEC has a mandate to establish accounting standards for enterprises under its jurisdiction.

D) The SEC reviews financial statements for compliance.

Answer:

C) The SEC has a mandate to establish accounting standards for enterprises under its jurisdiction.

Explanation:

Accounting principle can be defined as a general guideline to be followed by accountants or financial institutions when they record and report their financial transactions.

The Securities and Exchange Commission (SEC) is a governmental agency saddled with the sole responsibility of regulating the securities or capital markets, as well as protecting investors in a country.

In the United States of America, the Securities and Exchange Commission (SEC) as an independent government agency was established under the Securities Act of 1933 and the Securities and Exchange Act of 1934 of the United States of America. It has the power to propose securities rules and regulations, and enforce federal securities law in the securities market.

GAAP is an acronym for Generally Accepted Accounting Principles, it comprises of the accounting standard, procedures and principles used by public institutions in the United States of America. The U.S GAAP is issued by the Financial Accounting Standards Board (FASB) and adopted by the U.S. Securities and Exchange Commission (SEC).

IFRS is an acronym for International Financial Reporting Standards, it comprises of a set of accounting standards or rules issued by the International Accounting Standards Board (IASB). The International Financial Reporting Standards ensures that statement of income, when reported by accountants is consistent, transparent and comparable globally.

Hence, the relationship between the Securities and Exchange Commission and accounting standard setting in the United States is that, The SEC has a mandate to establish accounting standards for enterprises under its jurisdiction.

what are the points for?? :^)

Answers

Answer:

The brainly point allow you to ask questions

A student is setting up an experiment. The student has twenty identical young plants and will try to answer this question: How does the amount of water given to these plants each day affect how tall the plant will grow? Identify one condition, other than identical young plants, that should be held constant during the experiment.

Answers

If you give a plant to much water it could cause rotting to the roots and it won’t be able to get the oxygen it needs. The plant will not be able to grow without its healthy roots Causing the plant to stunt its growth.

Plant assets often require expenditures subsequent to acquisition. It is important that they be accounted for properly. Any errors will affect both the balance sheets and income statements for a number of years. For each of the following items, indicate whether the expenditure should be capitalized or expensed in the period incurred. Items (a) Improvement. select between capitalized or expensed Capitalized (b) Replacement of a minor broken part on a machine. select between capitalized or expensed Expensed (c) Expenditure that increases the useful life of an existing asset.

Answers

Answer:

Indicating whether the expenditure should be capitalized or expensed in the period incurred:

a. Improvement = capitalized

b. Replacement of a minor broken part on a machine = expensed

c. Expenditure that increases the useful life of an existing asset = capitalized.

Explanation:

The expectation of costs producing an economic benefit beyond the current year or within the normal course of an operating cycle determines whether to capitalize or expense the costs.  When an item of expenditure is capitalized, it means that the expense recognition is delayed.  When the cost is expensed, it is treated as an expense in the income statement, whereas a capitalized cost is taken to the balance sheet, with only the depreciation expense portion recognized as expense for the period.

The Jackson-Timberlake Wardrobe Co. just paid a dividend of $1.40 per share on its stock. The dividends are expected to grow at a constant rate of 5 percent per year indefinitely. Required:(a) If investors require a 11 percent return on The Jackson-Timberlake Wardrobe Co. stock, what is the current price

Answers

Answer:

$24.5

Explanation:

Calculation for What is the current stock price

Current stock price=$1.40 (1+.05) / (.11-.05)

Current stock price=$1.40 (1.05) / (.11-.05)

Current stock price=$1.47/0.06

Current stock price=$24.5

Therefore the current stock is $24.5

What are the four basic assumptions of perfect competition? Explain in words what they imply for a perfectly competitive firm.

Answers

Answer:

Perfect competition is a market situation by means of which no supplier can influence or determine the price of a good or service, as long as there is a multiplicity of suppliers who offer a homogeneous good, equivalent to that of the other suppliers. These goods, therefore, would not have differences between them (an example could be the fruit market), and therefore buyers could decide to buy from those sellers who offer the best prices. In this way, perfect competition would be generated between the bidders, who through their price would seek to attract buyers. For this type of competition (in theory, since in practice it is almost impossible) to occur, it requires a market without any type of barriers, with a product with the same characteristics, a high number of market players and abundant information about each of the products.

One of the toughest problems in investigating systems requirements is ensuring that they are complete and comprehensive. Imagine that you are a systems analyst. Decide the primary way in which you would ensure that you secure the necessary information during an interview session with a client. Devise a plan for accommodating conflicting responses for the same procedure from two different people you interviewe

Answers

Answer:

A) One of the most professional ways of acquiring information from a client during an interview is to approach the exercise in a semi-structured manner.

B) In order to accommodate conflicting responses from the same procedure from two different people, it is important to seek to understand what their interests are.

Explanation:

A) Semi-structured questions allow flexibility. Though the business analyst comes to the table with a set of pre-determined questions, they must be prepared to go outside of that list in order to get to the root of the problem which the clients needs to solve.

Another job of the analyst is to see beyond the immediate needs of the client and communicate to them, based on the information they provided any other problem that needs to be catered to.

Recording all information provided by the respondent is mission-critical.

B) Clarity of interests helps the analyst to determine what approach is best for accomodating both responses.

Cheers

A young engineer decides to save $240 per year toward retirement in 40 years. If he invests this sum at the end of every year at 9%, then how much will be accumulated by retirement time

Answers

Answer:

Future value of annuity = $81,091.80 (Approx)

Explanation:

Given:

Amount deposit per year A = $240

Number of year n = 40

Rate r = 9% = 0.09

Find:

Future value of annuity

Computation:

[tex]Future\ value\ of\ annuity\ = \frac{A[(1+r)^n-1]}{r}\\\\Future\ value\ of\ annuity\ = \frac{240[(1+0.09)^{40}-1]}{0.09}\\\\Future\ value\ of\ annuity\ = 81,091.798\\\\[/tex]

Future value of annuity = $81,091.80 (Approx)

Hedex, Co. has the following information in its sales budget: Budgeted unit sales: April 50,000 May 52,000 June 53,500 July 55,000 The budgeted sales price is $60 per unit. Assume that all sales are on credit and are expected to be collected 10% in the month of sale and 90% in the month following sale. Calculate the total amount of budgeted cash collections from customers in June.

Answers

Answer:

Total cash collection= $633,000

Explanation:

Giving the following information:

Budgeted unit sales:

May 52,000

June 53,500

Assume that all sales are on credit and are expected to be collected 10% in the month of sale and 90% in the month following sale.

Cash collection June:

Sales on account June= (53,500*60)*0.1= $321,000

Sales on account from May= (52,000*60)*0.1= $312,000

Total cash collection= $633,000

Identify a popular online magazine that also has an offline subscription or newsstand edition. What advantages (and disadvantages) does the online edition have when compared to the offline physical edition

Answers

Explanation:

One example of a popular magazine is the New York Times magazine which has an offline subscription and a newsstand edition.

Advantages of online edition:

broader audience reach: this means that the magazine could be accessed on a global scale since it could be easily downloaded online from anywhere in the world.lower printing/distribution cost: rather than spending more money printing physical copies of the magazine, the publishers simply place or send digital copies online for download by their subscribers.

Disadvantages of online edition:

increased risk of copyright infringement (plagiarism): since copies are made in digital format, it is easier for others to reproduce copies of the magazine without the express permission of the publishers.

Ides receives 16 cents for every unit produced. Ides produces 2,976 pieces in a 43-hour workweek. For overtime, Ides is paid a sum equal to one-half the regular hourly pay rate multiplied by the number of overtime hours. Ides' total piecework and overtime earnings are_________ $

Answers

Answer:

$492.78

Explanation:

Calculation for What The Ides' total piecework and overtime earnings are

Ides' total piecework and overtime earnings=[(2,976 × $0.16 ÷43*(0.5)]*3+[(2,976 × $0.16 )]

Ides' total piecework and overtime earnings= [($476.16 ÷ 43)*0.5]*3+[(2,976 × $0.16 )]

Ides' total piecework and overtime earning = ($11.07 × 0.5 )*3+[(2,976 × $0.16 )]

Ides' total piecework and overtime earnings= ($5.54 × 3)+$476.16

Ides' total piecework and overtime earnings = $16.62 + $476.16

Ides' total piecework and overtime earnings=$492.78

Therefore the Ides' total piecework and overtime earnings are $492.78

Scottie Barnes has an investment that will pay him $6,400, $6,450, $7,225, and $7,500 over the next four years. If his opportunity cost is 10 percent, what is the future value of the cash flows he will receive

Answers

Answer:

Total FV= $34,947.44

Explanation:

Giving the following information:

Cash flows:

1= $6,400

2= $6,450

3= $7,225

4= $7,500

Opportunity cost= 10%

To calculate the future value of the cash flows, we need to use the following formula on each cash flow:

FV= Cf*(1+i)^n

i= opportunity cost

FV1= 6,400*1.1^4= 9,370.24

FV2= 6,450*1.1^3= 8,584.95

FV3= 7,225*1.1^2= 8,742.25

FV4= 7,500*1.1= 8,250

Total FV= $34,947.44

You are analyzing the after-tax cost of debt for a firm. You know that the firm’s 12-year maturity, 15.50 percent semiannual coupon bonds are selling at a price of $1,117.25. These bonds are the only debt outstanding for the firm. What is the current YTM of the bonds and after-tax cost of debt for this firm if the bonds are selling at par?

Answers

Answer:

Note: The complete question is attached as picture below

Nper = 12*2 = 24

PMT = $77.50 (1000*0.0155*1/2)

Pv = 1.117.25

Fv = 1,000

1. Pretax cost of debt = Rate(nper, pmt, -pv, fv) * 2

Pretax cost of debt = Rate(24, 77.5, -1117.25, 1000) * 2

Pretax cost of debt = 0.0675 * 2

Pretax cost of debt = 0.135

Pretax cost of debt = 13.5%

2. After tax cost of debt = Pretax cost of debt * (1 - tax rate)

After tax cost of debt = 0.1350*(1-0.34)

After tax cost of debt = 0.0891

After tax cost of debt = 8.91%

3. Nper = 12*2 = 24

PMT = $77.50 (1000*0.0155*1/2)

Pv = 1,000

Fv = 1,000

Pretax cost of debt = Rate(nper, pmt, -pv, fv) * 2

Pretax cost of debt = Rate(24, 77.5, -1000, 1000)

Pretax cost of debt = 0.0775 * 2

Pretax cost of debt = 0.1550

Pretax cost of debt = 15.50%

After tax cost of debt = Pretax cost of debt * (1-tax rate)

After tax cost of debt = 0.1550*(1-0.34)

After tax cost of debt = 0.1023

After tax cost of debt = 10.23%

Read the following scenario and determine if the situation requires a direct or indirect message.You have just been offered a promotion that your friend and coworker, Sharon, has been hoping for. Sharon knows that you had a scheduled meeting with your boss today and sends you an e-mail asking how your meeting went. You know Sharon will be upset when she hears the news of your promotion; however, she is a good friend, and you need to be honest and tell her in your response e-mail.

Answers

Answer: Indirect message

Explanation:

The indirect message should be used in this case. We should note that this is typically used when one wants to pass a bad or sensitive news across to someone. In an indirect strategy, we should note that the main reason for the communication is usually after an explanation had been done first.

Therefore, in this case the indirect message should be used in communicating with Sarah. The message may hurt Sarah therefore it should be communicated in an indirect manner.

Derek has the opportunity to buy a money machine today. The money machine will pay Derek $37,630.00 exactly 14.00 years from today. Assuming that Derek believes the appropriate discount rate is 14.00%, how much is he willing to pay for this money machine

Answers

Answer:

$6,010

Explanation:

The money that Derek will be willing to pay should equal the future cash flows in todays money, this is known as the Present Value(PV).

FV = $37,630.00

PMT = $0

N = 14

I = 14.00 %

P/YR = 1

PV = ?

Using a Financial calculator the PV is $6,010

Therefore,

Derek will be willing to pay $6,010 for this money machine

You know that one of your shortcomings is that you have no real job experience to speak of. You are considering beefing up your resume by exaggerating the extent of the class project you worked on for a few weeks at your brother-in-law’s small consulting firm. You could reword the resume to make it sound as if you were actually employed there and that your responsibilities were greater than they actually were. What would you do?

Answers

Answer:

Obviously, I will not reword the resume in order make it sound as if I was employed.

Explanation:

Solution:

Obviously, I will not reword the resume in order make it sound as if I was employed.

Because:

1. It is ethically wrong.

2. If I reword the resume, then obviously, I would present fake certificates to the company in order to prove the rewording or exaggerating presenting in the resume.

3. Fake documents and certificates can not be hidden for long.

4. It is really dangerous and illegal to present fake data and certificates. You can get a job on those fake profiles but after some time, chances are very high that you will be caught red handed. And consequently, you can face severe legal proceedings as well.

Hence, I will definitely not exaggerate or reword the resume. Better way is to get an internship experience for free and then provide real certificates to secure a job.  

Market performance in the United States is tracked using stock changes. which use formulas to calculate price​

Answers

Answer: index

Explanation:

Here is the complete question:

Market performance in the United States is tracked using stock _____, which use formulas to calculate price changes.

a. Indexes

b. quotes

c. futures

d. trades

An index is defined as the method used in tracking the performance of an asset. Indexes measure the performance of securities. It shows whether the prices of stock are falling or rising.

Answer:

A. indexes

Market performance in the United States is tracked using stock indexes, which use formulas to calculate price changes

Explanation:

took test on edge 2021

What is GDP? Is it an economic term?

Answers

Answer:

Gross domestic product or GDP is a measure of the size and health of a country's economy over a period of time (usually one quarter or one year).

Explanation:

Yes it's an Economic term

Which sentence best completes the diagram?
?
The country's GDP
increases.
A. A country's economy becomes more productive.
B. A country's population increases rapidly.
C. A country's unemployment rate increases.
O
D. A country's government lowers all business taxes.
O

Answers

Answer: A) A country's economy becomes more productive

By "more productive", I mean the workers produce more goods and services. The GDP is a measure of how much of each is made by a country, which in turn is a reflection on how much progress it has made. And it's also a reflection of the standard of living. A high GDP is strongly connected to a high standard of living.

When a country's GDP increases, it generally means that the total value of goods and services produced within its borders has grown. This could be due to various factors, including increased productivity, population growth, or government policies.

What is GDP ?

Option A is a likely reason for an increase in GDP. When a country's economy becomes more productive, it is able to produce more goods and services with the same amount of resources. This could be due to advancements in technology, better education and training of the workforce, or improved infrastructure.

Option B is not necessarily a reason for an increase in GDP, as it depends on whether the population growth is accompanied by an increase in productivity and economic activity. If the population growth is not accompanied by an increase in economic activity, it could lead to a decrease in GDP per capita.

Option C is not a likely reason for an increase in GDP, as it suggests that more people are unemployed, which would typically lead to a decrease in economic activity and GDP.

Option D is a possible reason for an increase in GDP, as lowering business taxes could stimulate economic activity by making it more profitable for businesses to invest and expand. However, this would depend on various other factors such as the state of the economy, the level of government spending, and the effectiveness of other economic policies.

In conclusion, an increase in GDP could be due to various factors, but an increase in productivity is a likely reason, while an increase in unemployment is unlikely. Lowering business taxes could stimulate economic activity, but it would depend on various other factors .

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Jasper Company has sales on account and for cash. Specifically, 70% of its sales are on account and 30% are for cash. Credit sales are collected in full in the month following the sale. The company forecasts sales of $525,000 for April, $535,000 for May, and $560,000 for June. The beginning balance of Accounts Receivable is $400,000 on April 1. Prepare a schedule of budgeted cash receipts for April, May, and June.

Answers

Answer:

A schedule of budgeted cash receipts for April, May, and June.

                                 April            May          June

Cash Sales 30%    $157,500  $160,500  $ 168,000

Credit Sales 70 % $400,000 $367,500  $374,500

Total Collection    $557,500  $528,000 $542,500

Explanation :

Take note of when the collection is being done !

The Alpine House, Inc., is a large retailer of snow skis. The company assembled the information shown below for the quarter ended March 31:
Sales $ 1,350,000
Selling price per pair of skis $ 450
Variable selling expense per pair of skis $ 46
Variable administrative expense per pair of skis $ 19
Total fixed selling expense $ 140,000
Total fixed administrative expense $ 115,000
Beginning merchandise inventory $ 75,000
Ending merchandise inventory $ 120,000
Merchandise purchases $ 315,000
1. Prepare a traditional income statement for the quarter ended March 31.

2. Prepare a contribution format income statement for the quarter ended March 31.

3. What was the contribution margin per unit?

Answers

(1) The traditional format income statement for Alpine House, Inc for the quarter ended March 31 is shown below:ParticularsAmount ($)Sales1,350,000Less: Cost of Goods Sold:Beginning merchandise inventory 75,000 Add: Merchandise purchases 315,000 Goods available for sale390,000Less: Ending merchandise inventory 120,000 Cost of goods sold270,000Gross Profit1,080,000Less:

Operating Expenses:Variable selling expense46* units soldVariable administrative expense19* units soldTotal Variable Expenses65 Fixed Selling Expenses 140,000Fixed Administrative Expenses115,000Total Operating Expenses255,000Net Operating Income 825,000*Calculation of variable expenses:Variable selling expense per unit= $46Variable administrative expense per unit= $19Total variable expense per unit= $65($46 + $19)

(2) The contribution format income statement for the quarter ended March 31 is shown below:ParticularsAmount ($)Sales1,350,000Less: Variable Expenses:Variable selling expense (46*3,000 units)138,000Variable administrative expense (19*3,000 units)57,000

Total Variable Expenses195,000Contribution Margin1,155,000Less: Fixed Expenses: Fixed selling expenses140,000 Fixed administrative expenses115,000Total Fixed Expenses 255,000Net Operating Income900,000*Calculation of units sold: 3,000 units were sold (Sales/ Selling price per pair of skis = 1,350,000/450 = 3,000 units)

(3) The contribution margin per unit is $195. ($450 - $255) = $195.Contribution margin per unit is calculated as follows:Contribution margin per unit = Selling price per unit - Total variable expenses per unitSelling price per unit = $450Variable expenses per unit = $65 ($46 + $19)Contribution margin per unit = $450 - $65 = $385

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Oriole Company purchased machinery on January 1, 2020, for $96,000. The machinery is estimated to have a salvage value of $9,600 after a useful life of 8 years.

Required:
a. Compute 2020 depreciation expense using the straight-line method.
b. Compute 2017 depreciation expense using the double-declining-balance method, assuming the machinery was purchased on October 1, 2017.

Answers

Answer: See explanation

Explanation:

a. Compute 2020 depreciation expense using the straight-line method.

This will be:

= (Cost of the asset - Salvage value) / Useful life of the asset

= ($96,000 - $9600) / 8

= $86400 / 8

= $10,800

b. Compute 2017 depreciation expense using the double-declining-balance method, assuming the machinery was purchased on October 1, 2017.

This will be:

= $10,800 × 3/12

= $10800 × 0.25

= $2700

Which of the following are advantages of corporations: Ease of transfer and double taxation Limited liability and double taxation Limited life and limited liability Ease of transfer and limited liability

Answers

Answer:

Ease of transfer and limited liability

Explanation:

The Corporation can easily transferable as the number of shares could be divided that are purchased and sold over the stock exchange

Also they have the limited liability when there is any contigency arise due to which the corporation would be closed this would be limited to the shared amount that owned by the shareholders

Therefore the last option is correct

Other Questions
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