To solve corporate challenges, data scientists find consumer feedback and trends in data. Hence, the correct option is (3) customer feedback; patterns.
What is a data scientist and what is work?Data scientists are a new breed of analytical data experts with the technical ability to tackle complicated issues – as well as the desire to investigate what problems need to be solved. The data scientist position also has academic origins. Universities began to notice a few years ago that businesses desired programmers and team players. Professors modified their curricula to accommodate this, and certain institutions, such as North Carolina State University's Institute for Advanced Analytics, prepared to produce the next generation of data scientists. More than 60 comparable programs are currently available at institutions around the country.
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What would be the consequences if microbes did not exist?
Answer: a prolonged period of starvation, disease, unrest, civil war, anarchy, and global biogeochemical asphyxiation.
Explanation:
Answer: Answer is below <3
Explanation: The disappearance of microbes would have a similar effect. In the absence of these tiny decomposers, dead organic matter would accumulate in the environment, from our sewage systems to organic matter in each and every ecosystem. The grazing food web supports most of the known energy fluxes in most known ecosystems.
(by the way, the answer above mine is copied off go ogle)
At what payout percentage is a stock dividend typically considered a stock split, in accordance with the recommendation of the Financial Accounting Standards Board? a) 10%. b) 15%. c) 25%. d) 33%.
If a company were to declare a stock dividend of 25% or more, it could be perceived as a stock split by investors due to the significant increase in shares outstanding. Option C.
According to the Financial Accounting Standards Board (FASB), there is no specific payout percentage at which a stock dividend is considered a stock split. In fact, FASB does not even use the term "stock split" in their accounting standards.
Instead, FASB requires companies to account for stock dividends and stock splits in a similar manner, as both result in an increase in the number of shares outstanding.
However, in general, a stock dividend is considered to be a smaller increase in shares outstanding compared to a stock split. A stock dividend typically ranges from 5% to 25% of the outstanding shares, whereas a stock split is usually a 2-for-1 or 3-for-1 increase in the number of outstanding shares.
Therefore, if a company were to declare a stock dividend of 25% or more, it could be perceived as a stock split by investors due to the significant increase in shares outstanding. However, the exact threshold at which a stock dividend becomes a stock split is subjective and varies depending on the company and the market perception. Option C is correct.
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which is not a type of utilization management? gatekeepers prescription drug review case management pre-admission certification mandatory second surgical opinion
Gatekeepers, prescription drug review, case management, and pre-admission certification are types of utilization management, while mandatory second surgical opinion is not.
Utilization management is a process used by healthcare organizations to ensure the appropriate and efficient use of medical services. It involves various strategies and techniques aimed at controlling healthcare costs while maintaining quality care.
Among the options listed, gatekeepers, prescription drug review, case management, and pre-admission certification are all types of utilization management.
1. Gatekeepers: Gatekeepers are healthcare professionals, typically primary care physicians, who serve as the first point of contact for patients. They play a role in managing and coordinating access to specialty care and other medical services.
Their involvement helps ensure that patients receive necessary and appropriate care while avoiding unnecessary or duplicative services.
2. Prescription drug review: Prescription drug review is a utilization management strategy that involves assessing and managing the use of medications. It includes activities such as formulary management, prior authorization, step therapy, and medication therapy management.
The goal is to optimize medication utilization, promote cost-effective alternatives, and prevent misuse or overuse of drugs.
3. Case management: Case management is a comprehensive approach to coordinating and managing healthcare services for individuals with complex medical conditions.
It involves assessing patients' needs, developing care plans, coordinating services across different providers, and monitoring outcomes. Case management aims to improve patient outcomes, reduce costs, and enhance the overall quality of care.
4. Pre-admission certification: Pre-admission certification, also known as prior authorization, is a utilization management process that requires obtaining approval from a healthcare insurer before a planned medical service or procedure.
It ensures that the proposed treatment is medically necessary and cost-effective, preventing unnecessary procedures and controlling healthcare expenses.
On the other hand, a mandatory second surgical opinion is not a type of utilization management. While it may be a requirement in certain healthcare systems or for specific procedures, it does not fall under the umbrella of utilization management techniques.
Mandatory second surgical opinion is a policy or practice where patients are required to seek an additional opinion from another surgeon before undergoing certain surgeries.
It aims to provide patients with more information and reduce the potential risks associated with surgical interventions, but it is not directly related to the utilization management process.
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why is time management important to an event organiser
Answer:
The importance of time management is a commonly-heard phrase and skill, whether in job descriptions, event management or just your day to day life. The better you manage your time, the more efficient you will be. It also helps you recognize how much you can achieve in a day by setting targets and deadlines.
Explanation:
Next
Finance and Budgeting: Mastery Test
Drag each label to the correct location on the image.
Carl wants to purchase a local soccer franchise. Classify the sources of finance for this new business.
angel investor
government
issued a $1,000 security that can be
converted to 100 shares after 5 years.
granted tax incentives for stadium
improvements
sanctioned a long-term loan in exchange
for collateral
buy 10% of the company in exchange
for cash
impressed with the business plan,
Mr. Doyle provided $75,000.
secured $100,000 from the sale of
common stock.
Reset
Next
banks equity
convertible bond
venture capitalist
The correct answer Finance and Budgeting statement issued a $1,000 security Granted tax incentives improvements - impressed with business plan, Mr. Doyle provided $75,000 secured $100,000 from sale of stock.
What is convertible bond?An interest-bearing fixed-income corporate debt asset known as a convertible bond has the option of being converted into a certain number of shares of common stock or equity. During the bond's term, the conversion from bond to stock is possible at specific times and is often at the bondholder's option. A convertible bond's price is particularly sensitive to changes in interest rates, the value of the underlying stock, and the issuer's credit rating because it is a hybrid product. For businesses, convertible bonds offer flexible funding options. A convertible bond gives investors access to a hybrid instrument that includes the benefits of both a bond and a stock, including interest payments. The number of shares of stock you may obtain by converting one bond in this bond depends on its conversion ratio. A 5:1 conversion ratio, for instance, indicates that one bond would equal five shares of common stock.
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who among the following benefits the most from rent control?
Rent control is a government policy that sets limits on the amount of rent landlords can charge for their rental properties.
While this policy is intended to protect tenants from excessive rent increases, it can also have unintended consequences. In general, tenants who are already living in rent-controlled units benefit the most from rent control policies. This is because they are protected from sudden and significant rent increases, which can help them maintain affordable housing in high-cost areas. However, new tenants who are seeking to rent a unit may face difficulties finding available units due to rent control policies, as landlords may be less likely to offer units for rent at a reduced rate. Landlords, on the other hand, do not typically benefit from rent control policies. They may be forced to keep rents artificially low, which can limit their ability to maintain and improve their properties or cover their own expenses. Additionally, landlords may be less incentivized to offer units for rent in areas with rent control policies, which can lead to reduced supply and increased demand for available units, driving up prices in the long run. In summary, rent control policies may benefit existing tenants by protecting them from sudden rent increases, but they may also have negative consequences for landlords and new tenants seeking housing.
who among the following benefits the most from rent control?
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On December 1, Martin Company signed a $6,600, 4-month, 8% note payable, with the principal plus interest due on March 1 of the following year. What amount of Interest expense is accrued at December 31 on the note? Multiple Choice $44 $0^∘ $66 $176 $528
the interest expense accrued at December 31 on the note is $44. The correct answer is option (a) $44.To calculate the interest expense accrued at December 31 on the note, we need to determine the interest for the period from December 1 to December 31.
Given:
Principal amount: $6,600
Interest rate: 8%
Note duration: 4 months
To calculate the interest expense, we can use the formula: Interest Expense = Principal Amount × Interest Rate × Time
Time = (Number of days from December 1 to December 31) / (Number of days in a year)
Number of days from December 1 to December 31 = 31 days
Number of days in a year = 365 days
Time = 31 days / 365 days ≈ 0.0849
Interest Expense = $6,600 × 8% × 0.0849 ≈ $44.03
Rounding to the nearest whole dollar, the interest expense accrued at December 31 on the note is $44. The correct answer is option (a) $44.
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the interest expense accrued at December 31 on the note is $44. The correct answer is option (a) $44.To calculate the interest expense accrued at December 31 on the note, we need to determine the interest for the period from December 1 to December 31.
Given:
Principal amount: $6,600
Interest rate: 8%
Note duration: 4 months
To calculate the interest expense, we can use the formula: Interest Expense = Principal Amount × Interest Rate × Time
Time = (Number of days from December 1 to December 31) / (Number of days in a year)
Number of days from December 1 to December 31 = 31 days
Number of days in a year = 365 days
Time = 31 days / 365 days ≈ 0.0849
Interest Expense = $6,600 × 8% × 0.0849 ≈ $44.03
Rounding to the nearest whole dollar, the interest expense accrued at December 31 on the note is $44. The correct answer is option (a) $44.
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In determining the optimal level of output, a firm should aim for the...
point where decreasing returns become negative returns
output level where fixed costs exceed variable costs
point of maximum profitability for the company
output level where marginal returns are still increasing
In figuring out the most appropriate level of output, a firm need to goal for the factor of maximum profitability for the company
financial profit is maximized at the output stage at which the slopes of the overall sales and overall price curves are same, furnished that the firm is covering its variable cost. to use the marginal decision rule in earnings maximization, the company produces the output at which marginal cost equals marginal revenue.The earnings-maximizing choice for a wonderfully competitive firm will arise at the extent of output wherein marginal sales is identical to marginal cost—that is, where MR = MC.
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The optimal level of output for a firm is the point of maximum profitability, which is found where marginal cost equals marginal revenue.
Explanation:In determining the optimal level of output, a firm should aim for the point of maximum profitability for the company. This level is obtained where marginal cost equals marginal revenue (MC=MR). In this situation, the firm maximizes its profits as it is able to sell its output at the highest possible price that exceeds its marginal cost.
Points where decreasing returns become negative or where fixed costs exceed variable costs do not necessarily represent the optimal output level. Similarly, output levels where marginal returns are still increasing may be suboptimal if they are below the level where MC=MR.
A real-world example could be a shoe manufacturing company, they would aim to produce and sell at a level where their cost per shoe (MC) equals the extra revenue from selling an extra shoe (MR) to maximize their profitability.
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difference between relative and absolute scarcity
Answer: Relative scarcity could be described as that where the resources are limited in supply for a short while, due to manufacturing or supply challenges.
Absolute scarcity could he described as where supply is naturally limited. No possibility of the supply increasing.
Explanation:
Relative scarcity could be described as that where the resources are limited in supply for a short while, due to manufacturing or supply challenges.
Absolute scarcity could he described as where supply is naturally limited. No possibility of the supply increasing.
In relative scarcity, there is a probability of the supply to be made available later while in absolute, there is no possibility of it happening.
When analyzing a multiple flow process with a single flow, if the yield increases, then the capacity of good flow units per time period ______.
When analyzing a multiple flow process with a single flow, if the yield increases, then the capacity of suitable flow units per time period increases.
A floating unit is the primary evaluation unit in any given state of affairs (patron, sandwich, phone name, and many others.). waft charge/throughput: The number of drift gadgets (e.g. clients, cash, produced goods/services) going through the business technique per unit time, e.g served customers in step with an hour or created elements in step with minute.
Procedure waft analysis is used to help absolutely apprehend the contemporary circumstance of any production process facility. process Flows can be used to identify all factors inside a production facility from uncooked materials thru to humans and waste routes.
Research to analyze and improve business methods in offerings or in production by using getting to know how to increase productivity and deliver higher great standards. Key standards include method evaluation, bottlenecks, flow fees, stock degrees, and extra.
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Where would you find the Create Table Dialog Box?
Data tab, Get & Transform Data group
Data tab, Outline Command group
Insert tab, Charts gallery
Insert tab, Tables command group
Answer:
d
Explanation:
took the test
Answer:
D.
Explanation:
correct on edge
Assume a firm's resources and capabilities are costly to imitate. This is because rival companies do not clearly understand the relationship between the resources and capabilities controlled by the firm. In this case, the firm's competitive advantage is protected against imitation by causal ambiguity. dependence complexity. social complexity. path dependence.
Answer:
Option A (Causal ambiguity) is the correct choice.
Explanation:
Causal ambiguity seems to be the circumstance in which it would be difficult to properly link the results or potential impact of some kind of occurrence including its initial values as well as triggers in strategic decisions and therefore in the formulation of strategy.A category of instruments used throughout economic analysis to assess the competitive advantage of a firm is very much at its fingertips.The other given choice are not related to the given instance. So that option would be the appropriate choice.
In this case, the firm's competitive advantage is protected against imitation by causal ambiguity. Thus, option C is appropriate.
According to Einhorn and Hogarth (1986), causal ambiguity is a state of uncertainty that includes a lack of understanding and knowledge. However, performance turns into a matter of luck rather than strategy if no one within or outside of an organization is aware of the causal relationships between resources, activities, and outcomes.
A lack of comprehension of resource-competitive advantage cause-and-effect connections is referred to as causal ambiguity. Imitability is constrained by causal ambiguity.
Causal ambiguity simply means that it's not quite evident where your benefit came from.
Thus, option C is correct.
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What can the government do to reduce consumer demand for loans?
Answer:
Increase interest rates
Explanation:
The higher the interest rates that consumers have to pay may dissuade them from borrowing.
When a landlord allows the tenant to use the premises of a given unit, the landlord is satisfying which element of a valid lease contract?
When a landlord allows a tenant to use the premises of a given unit, the landlord is satisfying the element of possession or the right of possession in a valid lease contract.
In a rent contract, the proper of ownership gifts the inhabitant the legitimate right to possess and utilize the rented property or premises for an indicated period, subject to the terms and conditions laid out within the rent understanding.
The element of ownership is basic in a rent understanding because it sets up the tenant's exclusive right to possess and utilize the rented premises whereas obligating the proprietor to supply a property is reasonable for such utilization.
Other components of a substantial rent contract ordinarily incorporate the installment of the lease, the term of the rent term, the obligations of the proprietor and inhabitant, and any particular arrangements or conditions concurred upon by both parties.
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Which of the following methods to save for education may not be available for use at a private or out-of-state school?
Money market account
Pre-paid plan
529 plan
Roth IRA
Answer:
pre-paid plan
Explanation:
:)
Select the correct answer.
What economic concept is applied in this statement?
By earning higher levels of education, students learn skills and are more likely to be employed. In their jobs, they use their skills to provide goods
and services to others.
The economic concept that is applied in the statement is D. positive externality.
What is a positive externality?Positive externality refers to the production and consumption of a good or service that benefits some other third parties, who are not directly involved in the transaction.
Some examples of activities that create positive externality include:
EducationVaccinationLocal investmentsBuilding of infrastructure.Thus, the economic concept that is applied in the statement is D. positive externality.
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When Jack was hired in 2011 at Ford Motor Company, he was offered $14 an hour. His best friend Sam started at the same plant doing the same job two years earlier making $28 an hour. This is an example of
Answer:
This is an example of pay rise!
I hope this helps you!
a drp system is usually coupled with a system in an attempt to manage the flow and timing of both inbound materials and outbound finished goods.
In an effort to coordinate the flow & timing of both incoming raw materials and outgoing finished items, a DRP system is typically used in conjunction with an MRP system.
What does MRP stand for?Based on demand and the bill of materials, a materials planning (MRP) system determines what raw materials, components, and subassemblies are required, as well as when to assemble all finished goods (BOM).
What program is utilized for MRP?An order-driven ERP system designed for process manufacturing is Infor VISUAL. The system has an MRP software component that provides, among other things, inventory management, security reports, quality assurance, and material planning.
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maria has a small catering business, and she decided to alter the sweetness of her salad dressing. this operational decision will have a big impact on the long-run profitability of maria’s company.
Maria's business's long-term profitability will probably not be significantly affected by this operational decision.
Functional choices are transient decisions that are regularly made on a week by week, everyday, or hourly premise. In order to maximize product flow along biomass-based production chains, they are primarily concerned with operational details, daily resource allocation, inventory control, and delivery routing.
Decisions about the routine, ongoing activities that take place in an organization's functional areas are known as operational management decisions. These are the everyday business decisions that every company makes frequently.
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Complete question as follows:
maria has a small catering business, and she decided to alter the sweetness of her salad dressing. this operational decision will____ have a big impact on the long-run profitability of maria’s company.
glen's taxable income is $50,000 and he pays income tax of $6,754. if his income were $60,000, he would pay taxes of $8,954. what is glen's marginal tax rate? a.18.23% b.12.00% c.25.00% d.22.00% e.some other amount.
The marginal tax rate of glen would be 22%.
What is the marginal tax rate?The marginal tax rate is the amount of extra tax paid for every new dollar of income produced. The average tax rate is calculated by dividing total tax paid by total income received. A marginal tax rate of 10% indicates that 10 cents of every additional dollar earned is taxed.
Computation of Marginal tax rate of glen:
According to the given information,
Income = $50,000
Income tax = $6,754
Then, the glen's marginal tax rate, if his income would be $60,000 with the income tax is $8,954 is:
Marginal tax rate = ($8,954 – $6,754)/($60,000 – $50,000)
Marginal tax rate = 22%
Therefore, option D is correct.
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in your own words, why do you think it is important to write a cover letter?
PLEADF IM SO DESPERATE
Answer:
no not really
Explanation:
but in most cases they are important
The Pirates of Penzance Company delivers goods to various areas around the world. The company has a great reputation for being prompt on its deliveries. Blackbeard is the owner of the company. Davy Jones works for Blackbeard as an underpaid sailor. Davy knew that Blackbeard loved to read while they were transporting their deliveries and that his favorite book was The Adventures of Huckleberry Finn. Davy gave Blackbeard a valuable first edition of Twain's work hoping that Blackbeard would give him a raise in pay. A day later, Blackbeard promised to give Davy a pay raise of 18% because he was very pleased with the book. The following week when Davy received his check, he noticed that the raise was missing and he asked Blackbeard for the money. Blackbeard refused to give him his raise and Davy filed suit. Decide the outcome.
The outcome here is that the court would make blackbeard to give the pay raise that he promised to Davy.
The breach of promise.Davy may decide to sue because there has been a breach here. He may decide to sue under the proprietary estoppel.
He already met with what was required of him by providing the book to Blackbeard. It was Blackbeard that was unable tyo meet up with his own part.
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Calculate the range of potential annual returns if you invested 10% in bonds and 90% in stocks. How does this compare with the range of potential annual returns if you invested 10% in stocks and 90% bonds?
Answer:
From the graph, if you invest 10% in bonds and 90% in stocks, the range of potential return is given as +49.8% to -39.0% with a average of 9.9% whereas if investment is made by 10% in stocks and 90% in bonds, then the range of annual returns would become +31.2% to -8.2% with a average of 6%. Therefore, as the investment in stocks increases the average annual returns also increase.
Explanation:
Hope this helps!
Which of the following accounts would normally have a credit balance and appear in the balance sheet?
A. Dividends.
B. Salary expense.
C. Revenue.
D. Uneamed revenue.
E. Accounts receivable.
The account that contains a normal credit balance & the same appears in the balance sheet is unearned revenue.
The following information is relevant:
The dividend contains the normal debit balance and the same is to be shown under the stockholder equity statement.The salary expense is to be shown under the income statement and contains a normal debit balance.The revenue is to be shown under the income statement & contains a normal credit balance.Unearned revenue is a liability account and contains a normal credit balance. Also, it is to be shown under the balance sheet.The account receivable is an asset account & it contains a normal debit balance. Also, it is to be shown under the balance sheet.Therefore we can conclude that the account that contains a normal credit balance & the same appears in the balance sheet is unearned revenue.
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what is the difference between a need and want?
Answer:
they are synonym words
Suppose you would like to pay for a course to improve your job skills, a new computer to replace your old one, and a new TV. You do not have enough cash, so you consider taking out a loan to buy at least one of them. Which one would be the best use of credit? Which would be the least wise use of it?
The best use of credit is to pay for a course to improve your job skills. The least use of credit would be to buy a new TV.
Why is improving job skills important?The ability to improve characteristics and qualities necessary for efficient workplace performance makes skill development significant. By honing these abilities, you can also start along the road to personal growth, which can help you reach your potential and advance professionally quickly.
Employing their abilities more effectively increases a worker's likelihood of being happier at work, earning more money, and being better able to adjust to changes in the nature of their employment.
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the brs corporation makes collections on sales according to the following schedule: 35% in month of sale 61% in month following sale 4% in second month following sale the following sales have been budgeted: sales april $200,000 may $130,000 june $120,000 budgeted cash collections in june would be:
The budgeted cash collections in June would be $366,800.
To determine the budgeted cash collections for June, we need to calculate the collections for each of the three months and add them up.
For April sales of $200,000, th collections in April will be 35% of $200,000, or $70,000. The collections in May will be 61% of $200,000, or $122,000. The collections in June will be 4% of $200,000, or $8,000. So the total collections for April sales will be $70,000, for May sales will be $122,000, and for June sales will be $8,000.
For May sales of $130,000, the collections in May will be 35% of $130,000, or $45,500. The collections in June will be 61% of $130,000, or $79,300. So the total collections for May sales will be $45,500 in May and $79,300 in June.
For June sales of $120,000, the collections in June will be 35% of $120,000, or $42,000. So the total collections for June sales will be $42,000.
Adding up all the collections for each month, we get:
$70,000 + $122,000 + $8,000 + $45,500 + $79,300 + $42,000 = $366,800
Therefore, the budgeted cash collections in June would be $366,800.
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Parent Corporation owns 90 percent of Subsidiary 1 Company's stock and 75 percent of Subsidiary 2 Company's stock. During 2008, Parent sold inventory purchased in 2007 for $48,000 to Subsidiary 1 for $60,000. Subsidiary 1 then sold the inventory at its cost of $60,000 to Subsidiary 2. Prior to December 31, 2008, Subsidiary 2 sold $45,000 of inventory to a nonaffiliate for $67,000 and held $15,000 in inventory at December 31, 2008.
Based on the information given above, what amount should be reported in the 2008 consolidated income statement as cost of goods sold? A. $36,000
B. $12,000
C. $48,000
D. $45,000
The amount to be reported in the 2008 consolidated income statement as cost of goods sold is $60,000.(C. $48,000).
1.To determine the amount to be reported in the 2008 consolidated income statement as cost of goods sold, the transactions between the Parent Corporation, Subsidiary 1, and Subsidiary 2.
2.Parent Corporation sold inventory purchased in 2007 to Subsidiary 1 for $60,000. This transaction does not affect the consolidated cost of goods sold since it represents an internal transfer within the consolidated group. No profit or loss is recognized at this point.
3.Subsidiary 1 sold the inventory to Subsidiary 2 at its cost of $60,000. Again, this is an internal transfer within the consolidated group, and no additional profit or loss is recognized. The cost of goods sold remains unaffected.
4.Subsidiary 2 sold $45,000 of inventory to a non-affiliate for $67,000. This transaction involves the sale of inventory to an external party and will impact the consolidated cost of goods sold. The cost of goods sold will be the cost incurred by Subsidiary 2 to acquire the inventory from Subsidiary 1, which was $60,000.
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A bank can offer which of the following
Checking Account and a Savings Account
Tax Bills
Checking Account
Checking Account, Savings Account, Safety Deposit Box
Answer:
Checking Account, Savings Account, Safety Deposit Box
Explanation:
Banks are financial institutions that provide a wide variety of financial services to their customers. They accept customer deposits and issue loans. Commercial banks act as intermediaries between the supply side and demand side of credit.
Commercial banks are also known as deposit-taking institutions. Deposits facilities offered by banks include
Checking accounts, Savings accounts, Safety Deposit BoxMoney Markets accountsCertificated of Deposits accountsAnswer:
Checking Account, Savings Account, Safety Deposit Box
Explanation:
The person above was correct.
An account with an initial balance of $1500 earns 7% interest for 1. 5 years. What is the ending balance? Enter your answer in the box.
Answer:1,657.50
Explanation: