When computing the simple rate of return, the annual incremental net operating income in the numerator should be reduced by the investment's depreciation charges.
Give a brief account on depreciation.In accounting, the term "depreciation" is used to refer to two related ideas: first, the actual decrease in an asset's fair value over time, such as the value of factory equipment declining annually as it is used and wears out; and second, the allocation in accounting statements of the asset's initial cost to the periods during which the asset is used (depreciation with the matching principle). Depreciation is essentially the loss of asset value and the process of reallocating, or "writing down," the cost of a tangible asset (such as equipment), over the course of the asset's useful life. For both accounting and tax reasons, businesses depreciate long-term investments.
A company's or entity's balance sheet is impacted by the asset's decline in value, and their income statement is impacted by their method of accounting for the asset's depreciation, which has an impact on net income. The cost is typically divided up as depreciation expense among the intervals during which the asset is anticipated to be used.
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The complete question is mentioned below :
When computing the simple rate of return, the annual incremental net operating income in the numerator should ______ the investment's depreciation charges.
Multiple choice question.
be increased by
not be changed by
be reduced by
Monitoring the administrative ratio to make sure staff expenses do not become excessive is an example of _____ control.
A) postaction
B) strategic
C) structural
D) operations
E) information
C) Structural control. Monitoring the administrative ratio to ensure that staff expenses do not become excessive is an example of structural control.
controls focus on establishing and maintaining the organizational structure, systems, and processes to guide and control the behavior and performance of employees within an organization.
In this case, monitoring the administrative ratio is a structural control mechanism aimed at controlling costs and ensuring efficient use of resources. The administrative ratio refers to the ratio of administrative expenses (such as salaries, benefits, and overhead costs) to the overall budget or revenue of the organization. By monitoring this ratio, management can assess the efficiency and effectiveness of staff expenses and take ive actions if the ratio becomes too high or exceeds acceptable levels.
Other s:
A) Postaction control: Postaction control refers to controls that are implemented after an activity or event has taken place. It focuses on reviewing and evaluating the outcomes or results to provide feedback and take ive actions.
B) Strategic control: Strategic control is concerned with monitoring and evaluating the overall strategic direction and performance of an organization. It involves assessing whether the organization is achieving its strategic objectives and making necessary adjustments to align with the strategic plan.
D) Operations control: Operations control involves monitoring and managing the day-to-day activities and processes within an organization to ensure efficiency, productivity, and quality.
E) Information control: Information control refers to the management and control of information systems, data, and technology to ensure accurate, timely, and secure information flow within an organization.
In this scenario, the most appropriate control is structural control, as it focuses on monitoring the administrative ratio to control staff expenses and ensure cost efficiency.
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Fung & Hsieh (1999) found that linear regression models were less successful at explaining the returns of hedge funds when compared to mutual funds. In order to overcome this, some subsequent research has focused on using option strategies as explanatory variables with more success. Using your knowledge of the Trend Following and Risk Arbitrage strategies as well as the academic literature, discuss which option strategies best explain the returns of these two strategies and why this might be the case.
Long Volatility and Convexity options explain Trend Following returns, whereas Merger Arbitrage and Event-Driven options explain Risk Arbitrage returns.
Due to the limitations of linear regression models in capturing hedge fund returns' unique characteristics, option techniques like Trend Following and Risk Arbitrage have attracted interest in subsequent study.
Option techniques like Long Volatility and Convexity improve trend following explanatory power. Trend Following methods profit from market trends, and option strategies like Long Volatility capture nonlinear payoffs from unexpected market swings and volatility spikes. In trending markets, convexity options better match the strategy's returns.
Risk Arbitrage techniques have used Merger Arbitrage and Event-Driven options. Risk arbitrage exploits merger and acquisition price differences. Option methods that capture these occurrences' risks and outcomes can better explain returns. Merger Arbitrage options can hedge against deal failure and capture the nonlinearity of merger returns.
Option methods capture the nonlinear payoffs and dangers of Trend Following and Risk Arbitrage strategies. This improves model explanatory power and hedge fund return drivers.
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Which of the following describes how the U.S. government protects and supports farmers and ranchers?
through establishing and maintaining food standards
through programs that provide direct payments
through allowing agribusiness companies to create oligopolies
through strict measures of qualis for commodities
first one to get it right gets Brainliest
Answer:
through allowing agribusiness companies to create oligopolies
Explanation:
Answer:
through programs that provide direct payments
Explanation:
The United States government gives free money to farmers and ranchers through a government subsidiary.
Why is it important to know the functions of Business?:
Answer:
it is important to know the function of business because to identify the main functional activities of an organization or any types of work .
Explanation:
mark as a brainlist if it is correct
PLEASE HELP ME ANSWER EACH QUESTION! IM GIVING ALL MY POINTS!
BRAINLIEST!
1.) For every problem-solving activity, it’s crucial that no less than five alternatives be considered.
True
False
2.)Clarifying the issues of a problem is the _____ step in the problem-solving process.
first
seventh
sixth
second
3.)Recognizing a problem exists and taking actions to resolve it is an example of _____.
compromise
initiative
diplomacy
communication
4.)A(n) _____ is an unbiased third party used to make suggestions to a group that is having difficulty resolving a problem.
mediator
judge
arbitrator
diplomat
5.)Respecting others, valuing their perspective, and being sensitive to their concerns is _____.
a leader
diplomatic
an arbitrator
unbiased
Answer:
1. True
2. First
3. Initiative
4. Arbitrator
5. Unbiases
( b ) explain five circumstances under which a high population growth may be desirable
Answer:
There is a need to increase the demand in market for both goods and services.
There is a need to attract foreign investors
As societies modernize, mortality rates fall while birth rates remain high leading to high population growth rates.
Higher population growth may be beneficial in high-income countries where there is currently a tendency for population growth rates to decline
Development in agriculture, better techniques to grow more and better quality food. Food available at all the times due to better storage conditions. So people do not die of starvation when food is not available.
Explanation:
High population growth may be desirable in the market, investors, societies, high-income, and agriculture.
The population is the number of people residing in a certain area. Estimating the population enables us to determine how many beings there are and how best to respond.
The market needs to see an increase in demand for both goods and services.It is necessary to draw in international investors.Modern societies see declining rates of death while experiencing large families, which results in rapid population growth.In high-income nations which have now a propensity for population increase to drop, higher growing population may well be advantageous.advancements in agriculture, new ways to produce more food of higher quality. Food is always available because to improved storage circumstances. Consequently, when food is scarce, people do not perish from hunger.Learn more about population, Here:
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the management's preparation of activities to be carried out by the organization is termed
a) planning
b) delegating
c) organising
d) motivating
Answer:
a) planning
Explanation:
Planning is a major function of management. It entails thinking ahead or visualizing how to execute events or processes before their time is due. Planning is actualizing events in one's mind to achieve desires results before implementing them on the ground. It is going ahead of time and making preparations for future events.
Planning makes processes and events go smoothly. It makes sure all necessities are availed on time and all possible hitches have been addressed.
The best reason to record income at the top of a budget is
a. to easily add expenses to it.
b. to know how much money is available.
c. to avoid spending too much money.
d. to see that is is more important than expenses.
B) To know how much money is available.
You can clearly see how much money you have available to spend or save by listing revenue at the top of a budget.
Making judgments on how to divide your money and prioritize your expenses requires knowledge of this information.
You may see how much money is available to cover your bills, pay off debts, and save for the future by putting revenue at the top of your budget.
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which of the following is not one of the three types of contingent valuation surveys?
The correct answer is "Stated preference survey" as it is not one of the three types of contingent valuation surveys.
Contingent valuation surveys are a methodology used in economics to estimate the value individuals place on goods, services, or environmental resources that do not have a market price. The three main types of contingent valuation surveys are:
Open-ended contingent valuation surveys: These surveys ask respondents an open-ended question about the maximum amount they would be willing to pay (WTP) or accept (WTA) for a particular good or service.
Closed-ended contingent valuation surveys: These surveys provide respondents with a set of predetermined payment options, often presented in a multiple-choice format. Respondents choose their preferred option or indicate their WTP or WTA from the provided choices.
Dichotomous choice contingent valuation surveys: In these surveys, respondents are presented with a yes-or-no question, typically framed as whether they would be willing to pay a specific amount for the good or service being valued.
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A U.S. company has a forward purchase contract for delivery of euros at the end of May at a price of $1.24/€. The U.S. dollar strengthens against the euro during this period. The company will: Select one: A. Lose on the forward purchase contract B. Gain on the forward purchase contract C. Not exercise the forward purchase contract D. Continue to hold the forward contract after the end of May
The correct answer to this question is option A) The U.S. company will lose on the forward purchase contract due to the strengthening of the U.S. dollar against the euro during the period of the contract.
The correct answer to this question is option A) The U.S. company will lose on the forward purchase contract due to the strengthening of the U.S. dollar against the euro during the period of the contract. The forward purchase contract is a financial instrument that allows the company to buy euros at a fixed price of $1.24/€ at the end of May. However, if the exchange rate between the U.S. dollar and the euro changes before the end of May, the company will either gain or lose on the contract. In this case, the U.S. dollar has strengthened against the euro, which means that the company could have bought euros at a lower rate if they had not entered into the forward purchase contract. As a result, they will lose on the contract because they will have to pay $1.24 for each euro they purchase, even though the current exchange rate is more favorable. The company could have gained on the forward purchase contract if the opposite scenario had occurred, and the U.S. dollar had weakened against the euro during the period of the contract. In that case, the company would have been able to buy euros at a lower rate than the market price and would have realized a profit on the contract. The company could choose not to exercise the forward purchase contract if they believe that the exchange rate will continue to be unfavorable at the end of May. They could also continue to hold the forward contract after the end of May if they believe that the exchange rate will improve in the future, although this could result in additional costs and risks.
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The U.S. company will gain on the forward purchase contract if the U.S. dollar strengthens against the euro during this period.
A forward purchase contract is an agreement between two parties to buy or sell an asset at a future date at a predetermined price. In this case, the U.S. company has a forward purchase contract to buy euros at $1.24/€ at the end of May. However, if the U.S. dollar strengthens against the euro during this period, it means that the euro becomes cheaper relative to the U.S. dollar. As a result, the U.S. company will have to pay more dollars to buy the same amount of euros as specified in the contract. This means that the company will lose money on the forward purchase contract.
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Bill plans to deposit $200 into a bank account at the end of every month. The bank account has a nominal interest rate of 8 percent and interest is compounded monthly. How much will Bill have in the account at the end of 2½ years (30 months)?
The amount that should have in the account at the closing of 30 months is $6,617.77.
Given that,
The rate of interest = 8% ÷ 12 = 0.6666%The nper is = 2.5 × 12 = 30The monthly payment or pmt is $200The present value be $0Now the following formula should be used:
=-FV(RATE,NPER,PMT,PV,TYPE)
After applying the above formula, the future value is $6,617.77.
Therefore we can conclude that The amount that should have in the account at the closing of 30 months is $6,617.77.
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Click this link to view O*NET’s Tasks section for Heating and Air Conditioning Mechanics and Installers. Note that common tasks are listed toward the top, and less common tasks are listed toward the bottom. According to O*NET, what are some common tasks Heating and Air Conditioning Mechanics and Installers perform? Check all that apply.
joining pipes or tubing to equipment and to fuel, water, or refrigerant source
pumping oil from a well into a pipeline for transmission
overseeing the activities of workers in a hydroelectric power plant
testing pipe, or tubing joints or connections for leaks
reassembling and testing equipment
testing electrical circuits or components
Answer:
A, D, E , F
Explanation:
Just finished the assignment.
Answer:
The correct answer is A C D F
Explanation:
When a sender of information encrypts that information, what is the resulting text known as?
What is the text that results when a sender of information encrypts that information known as Ciphertext. Plaintext that has been encrypted with a cryptographic algorithm is referred to as ciphertext. Before it can be read, ciphertext must be decrypted (converted to plaintext) with a key. The decryption cypher's technique turns the ciphertext back to plaintext.
Many various network protocols feature symmetric ciphertext, which are often employed to safeguard online information, in order to encrypt exchanges. Protocols utilizing symmetric cyphers are used in virtual private networks that link distant employees or branch offices to corporate networks to secure data transmissions.
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While many feel that ridesharing companies like uber have taken business from taxicabs, others feel the demand has always been greater than the supply and uber is ________ the economy.
Others believe that the demand has always been higher than the supply and that uber is helping to build the economy. While many people believe that ridesharing firms like Uber have stolen business away from taxicabs, other others believe that the demand has always been larger than the supply.
expanding fills the gap in the question
This is further explained below.
What is ridesharing?Companies that facilitate ridesharing connect those in need of transportation with drivers of automobiles for hire that cannot be flagged down on the street, such as taxis.
An economy produces, distributes, trades, and consumes products and services. It's a social domain that emphasizes the creation, use, and management of finite resources.
In conclusion, Many people think that ridesharing services like Uber have taken business away from taxis, but others think that demand has always been higher than supply and that uber is helping the economy grow.
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What does spillage refer to quizlet 2023?
spillage. A user writes down important points marked as Secret from a report stored on a categorized machine and makes use of these small print to draft a briefing on an unclassified system except authorization.
What does spillage refer to in cyber protection quizlet?Spillage takes place when facts is "spilled" from a greater classification or safety degree to a lower classification or protection level.
Spillage can be both inadvertent or intentional.
What does spillage refer to cyber awareness?Spillage occurs when statistics is “spilled” from a greater classification or safety level to a decrease classification or protection level.
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( By the way, this is a question related to financial accounting.) International Investment Group is looking to invest $95,000 into a company. Where should International Investment Group look for relevant information about the company's performance? A. The company's Management Books B. The company's Tax Books C. The company's Budgets D. The company's Financial Books
Answer:
The correct option is;
The company's Financial Books
Explanation:
In order to effectively and clearly let interested parties access pertinent information about a company, financial books are kept which show the companies economic performance and its position related to financing. Information about a company can be located in financial statements including shareholders equity, cash flow statements, income statements and balance sheets.
Why is a U.S. savings bond considered a safe form of saving?
Explanation:
U.S. savings bonds are considered one of the safest investments because they are backed by the full faith and credit of the U.S. government. ... They are sold at face value, so you'll pay $50 for a $50 bond. The bond is worth its full value upon redemption. The interest is issued electronically to your designated account.
1. ennis enterprises common stock is currently priced at $28.80 a share. the company paid $1.15 per share last month as their annual dividend. the dividends have been increasing by 3 percent annually and are expected to continue doing so. what is the cost of equity for neal enterprises? (show how you derived your answer.)
The cost of equity for Ennis Enterprises is 10.11%. The cost of equity for Ennis Enterprises can be calculated by using the dividend growth model.
The cost of equity for Ennis Enterprises can be calculated using the Dividend Discount Model (DDM). The DDM is a method used to estimate the cost of equity by taking the present value of future dividends. The formula for the DDM is:
Cost of Equity = (D1 / P0) + g
Where:
- D1 is the expected dividend per share for the next year
- P0 is the current price per share
- g is the expected growth rate of dividends
Given the information in the question, we can plug in the values into the formula:
D1 = $1.15 * 1.03 = $1.1845
P0 = $28.80
g = 3% = 0.03
Cost of Equity = ($1.1845 / $28.80) + 0.03 = 0.0711 + 0.03 = 0.1011 or 10.11%
Therefore, the cost of equity for Ennis Enterprises is 10.11%.
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The final topic your supervisor is interested in is the probability that first time visitors to the company website, who were not referred by anyone else, sign up for the company newsletter. The team has tracked this for quite some time now and has found these unreferred visitors sign up with a 30% probability. As they are first time visitors without having been referred by another visitor, they make the decision without being influenced by any other visitor or visit. 8. Your supervisor is now interested in running a promotion for first-time visitors that sign up for the newsletter, so she wants to get an idea how many there will be. More precisely, she now wants you to determine the probability (and explain how you do so) that at least 31% of the next 1000 unreferred first time visitors sign up for the newsletter.
Given that the probability of first time visitors to the company website, who were not referred by anyone else, sign up for the company newsletter is 30%.Suppose n = 1000 is the number of unreferred first time visitors. Then the number of visitors who sign up for the newsletter has a binomial distribution.
Then X has a binomial distribution with n = 1000 and p = 0.3.We need to find P(X ≥ 0.31 × 1000) = P(X ≥ 310)We know that P(X ≥ 310) = 1 - P(X < 310)Now we have to find P(X < 310)Using the normal approximation to the binomial distribution, we get that X has approximately a normal distribution with µ = np = 1000 × 0.3 = 300 and σ = sqrt(npq) = sqrt(1000 × 0.3 × 0.7) ≈ 13.57We want to find P(X < 310).
Converting X into standard normal distribution Z such that Z = (X - µ)/σ, we have:Z = (310 - 300)/13.57 = 0.737Using a standard normal distribution table or a calculator, we find that P(Z < 0.737) ≈ 0.7708. Therefore, P(X < 310) ≈ 0.7708So, P(X ≥ 310) = 1 - P(X < 310) ≈ 1 - 0.7708 = 0.2292Therefore, the probability that at least 31% of the next 1000 unreferred first time visitors sign up for the newsletter is 0.2292, or about 22.92%.
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NEHunt sells artifacts from small handicraft shops around the world. It provides a medium to sell various products with a secure payment system. It showcases products from the small handicraft stores and creates an attractive audience for new and innovative products. Which of the following statements is true of NEHunt in this scenario?
a. It sells differentiated products from a standardized platform.
b. It sells identical products in the same way all over the world.
c. All aspects of its operations including sales are centralized.
d. Integration is not limited to a particular value chain segment or a sales division.
Considering the situation described above, the statement that is true of NEHunt in this scenario is that "It sells differentiated products from a standardized platform."
This is because differentiated products are products that make a brand stands outs from the competition.
A standardized platform is a platform in which one vendor sells various products.
Therefore, given that NEHunt sells various products with a secure payment system, this is an example of a vendor selling differentiated products from a standardized platform.
Hence, in this case, it is concluded that the correct answer is option A.
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2. By assessment of a process, it is found out that the required amount of time to complete the process and create a product by each resource is 20 days. If 6 identical resources exist in this process.
2-1. Find the effective annual manufacturing capacity of this resource pool (5 points)
2-2. If the current throughput of this process is 100 products a year, what % of the resource pool’s capacity is utilized? (5 points)
The effective annual manufacturing capacity of the resource pool is 120 units/year. Explanation:There are 6 resources and the required amount of time to complete the process and create a product by each resource is 20 days.Thus, the total time required to create a product by a single resource is 20 days × 1 = 20 days.If we want to find out the number of products that can be created by a single resource in a year.
then we need to divide the total days in a year (365 days) by the total time required by a single resource to create a product (20 days). Number of products that can be created by a single resource in a year = 365 days/20 days ≈ 18 products/year.
Now, we need to multiply the number of products that can be created by a single resource in a year by the number of resources to find the total capacity of the resource pool.
Effective annual manufacturing capacity of the resource pool = 18 products/year × 6 resources
Effective annual manufacturing capacity of the resource pool = 108 products/year ≈ 120 products/year (rounded off to nearest 10).2-2).
The resource pool’s capacity is utilized 83.33%.
Explanation Current throughput of the process = 100 products/year.
So, the percentage of the resource pool’s capacity that is utilized can be found by dividing the current throughput by the effective annual manufacturing capacity of the resource pool and then multiplying the result by 100.
Thus, percentage of the resource pool’s capacity that is utilized = (100 products/year/120 products/year) × 100% ≈ 83.33%.
Therefore, the resource pool’s capacity is utilized 83.33%.
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Sally owns a $1,000-par zero-coupon bond that has six years of remaining a. What is the expected price of the bond at the time of sale?
Answer:
$647.96
Explanation:
Sue the following formula to calculate the price of the bond at the time of sale
Price of Bond = Face value of the bond / ( 1 + Market interest rate )^numbers of years
Where
Face value of bond = $1,000
Market interest rate = 7.5%
Numbers of years = 6 years
placing values in the formula
Price of Bond = $1,000 / ( 1 + 7.5% )^6
Price of Bond = $647.96
Question #4
Multiple Choice
Values are principles that typically guide or influence an individual's decision-making process. Two
areas of life most often affected or influenced by values include
emotions and reactions
decisions and responses
physical health and feelings
attitudes and behaviors
The two spheres of life that are most frequently impacted or altered by values are attitudes and behaviors. The correct response is option (4).
Define attitudes and behaviors.An individual's attitude is defined as their mental perspective, or how they feel or think about someone or something. Behavior describes the actions, motions, conduct, or behaviors of an individual or a group toward other individuals. built upon. Experience and observation.
When people put more focus on their own attitudes and feelings, they tend to act more in line with those feelings, therefore there is a link between attitude and behavior. Additionally, when people feel greater responsibility for their individual actions rather than the actions of a collective, their opinions are more consistent with their behavior.
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Chetty, Friedman, and Rockoff use a teacher switching quasi-experiment to study measures of teacher value-added.(a) What were they trying to demonstrate with the teacher switching quasiexperiment?(b) Suppose that teachers only switch between schools with very similar types of students. What would that say about their results? Explain.
a. They were trying to demonstrate the effect of a teacher's past performance on the performance of their current and future students.
b. If teachers only switch between schools with very similar types of students, it would imply that the results observed in the teacher switching quasi-experiment are likely to be more generalizable to the broader population of schools and teachers.
(a) The teacher switching quasi-experiment was used by Chetty, Friedman, and Rockoff to study measures of teacher value-added.
(b) This is because teachers who switch between schools with similar types of students are more likely to be similar in terms of their teaching skills and effectiveness, which would make it more difficult to attribute any differences in student performance to the teacher alone. In this case, the results of the teacher switching quasi-experiment would be more likely to reflect the true effect of a teacher's past performance on student performance, rather than being influenced by other factors such as the specific characteristics of the students or school.
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What are ethics ? In business
Answer: Business ethics are policies that guide the behavior of corporate entities, especially regarding controversial subjects.
Business ethics protect companies from legal liability and ensure that they treat their customers and team members with respect.
Corporate ethics codes often include subjects like social responsibility, insider trading, discrimination, corporate governance and bribery.
Explanation:
What is a tax return?
A. A form sent to the IRS which reports on your annual income and deductions.
B. The amount of money you make after paying taxes
C. The amount of money returned to you after you pay your taxes
D. The amount of money your employer pays in taxes
What are some examples of companies providing consumers with goods?
Answer:
is this a multiple choice question?
Explanation:
Which resource can you use to view businesses or suppliers divided into different categories?
You may use online or offline _________
to view businesses or suppliers classified into different categories.
Answer:
yellow pages
Explanation:
It's "Yellow Pages" :)
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Using the rule of 72, how many years will it take to double $5,000 earning 4 percent interest?.
According to the method, you just divide the interest rate by 72 to determine how many years it will take to double your money at a specific interest rate.
So years will it take to double =72/4 =18 year
answer is 18 year.
Why do we use the term "interest"?When you borrow money, you must pay interest, and when you lend money, you must charge interest. The most common way to represent interest is as a percentage of a loan's total amount per year. The loan's interest rate is denoted by this proportion. In the fields of finance and economics, interest is defined as the payment of a sum over and above the return of the original sum, made at a set rate, by a borrower or deposit-taking financial institution to a lender or depositor. It differs from a fee the borrower might pay the lender or another entity.
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.The Pension Benefit Guarantee Corporation performs a role similar to that of
Group of answer choices
a. the Office of Thrift Supervision.
b. the Comptroller of the Currency.
c. the FDIC.
d.the Federal Reserve System.
The Pension Benefit Guarantee Corporation (PBGC) performs a role similar to that of **c. the FDIC** (Federal Deposit Insurance Corporation).
The PBGC is a U.S. government agency that protects the pension benefits of participants in private-sector defined benefit pension plans. It operates similarly to the FDIC, which insures bank deposits and promotes stability in the banking system. The PBGC provides insurance for certain pension plans and takes over the responsibility of paying benefits when a covered plan becomes insolvent. Similarly, the FDIC provides deposit insurance to protect bank customers' deposits in case of bank failures. Both agencies play a crucial role in safeguarding individuals' financial interests and promoting confidence in the respective sectors they oversee.
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