.......................
In hyperinflation, inflation has historically been high and unpredictable.
Hyperinflation is a situation where there is an extreme and rapid increase in the general price level of goods and services in an economy. In this scenario, the inflation rate is usually above 50% per month.
Hyperinflation can occur due to various reasons, such as excessive money supply, a decrease in goods production, and loss of confidence in the currency.
High and unpredictable inflation can lead to economic instability and social unrest. It can also lead to the devaluation of the currency, making imports more expensive, and worsening the balance of payments.
The effects of inflation that is hyperinflation are severe and can have long-lasting consequences for an economy.
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PLZ HELP ME!!!!!!
Which statement about credit card interest rates is TRUE?
A.) The more money you spend on purchases, the higher your interest rate will be
B.) A high interest rate means you'll pay MORE money total
C.) A high interst rate means you'll pay LESS money total
D.) Most credit cards do not charge any interest rate
Answer:
I think its A?
Explanation:
What is the last step in the process of benchmarking? (select the best answer)A. Identify process/area needing improvementB. Determine ways to address the gaps/improveC. Determine leader(s) in that areaD. Gather data about another organization’s processes/performance
The last step in the process of benchmarking is Gather data about another organization's processes/performance.
Benchmarking is a strategic management tool used to compare an organization's processes, performance, and practices against those of industry leaders or other organizations considered to be best-in-class. It involves a systematic process of identifying areas needing improvement, determining ways to address the gaps, and then gathering data about another organization's processes or performance to serve as a benchmark for comparison.
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The _____ is a voice for small business.
SCORE
SBDC
SBA
PLEASE HURRY 15 POINTS AND BRAINLIST TO FIRST PERSON TO ANSWER CORRECTLY
Answer:
I believe it's the SBDC but I'm not 100% sure tho
Answer:
SBA
Explanation:
its also called NFIB i think
PLEASE HELP! I'M DOING A TEST!!!
Which analyst position analyzes information using mathematical models to help business managers make decisions?
A) Budget Analyst
B) Management Analyst
C) Credit Analyst
D)Operations Research Analyst
Answer:
operations research analyst
Based on your learning, can you discuss the
significance of balance of payments for the world's major
economies?
The balance of payments is a critical concept in international economics that measures all economic transactions between a country's residents and the rest of the world over a specific period, typically a year. It is divided into two major categories: the current account and the capital and financial account.
The current account includes imports and exports of goods and services, income from investments, and unilateral transfers like foreign aid. On the other hand, the capital and financial account covers financial flows such as foreign direct investment, portfolio investment, and loans.
Maintaining a healthy balance of payments is essential for the world's major economies because it reflects their overall economic health and stability. A positive balance of payments means that a country is earning more from its exports than it's spending on its imports and other current account items. Such a situation indicates that the country has sufficient foreign exchange reserves to finance its debt obligations and pay for necessary imports.
Alternatively, a negative balance of payments can signal an underlying problem in the economy, such as high inflation or excessive public debt. In such cases, a country may need to borrow money from foreign creditors or sell off its assets to cover its deficits, which can lead to a loss of economic sovereignty.
Overall, maintaining a stable balance of payments is crucial for the continued growth and development of any economy, especially those of major global players.
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Which of the following is not one of the sources of natural market power?
A.
Having individual expertise in a field.
B.
Controlling a key resource.
Your answer is not correct.
C.
Owning a firm in a small community.
D.
The presence of economies of scale.
The answer is A, having individual expertise in a field, is not one of the sources of natural market power. Natural market power refers to the ability of a firm to control market conditions, which allows it to influence prices, output, and other variables.
There are several sources of natural market power, including controlling a key resource, owning a firm in a small community, and the presence of economies of scale. Controlling a key resource can give a firm natural market power because it allows the firm to set the price and control the supply of the resource. Owning a firm in a small community can give natural market power because there may be limited competition, and the firm may have established relationships with customers. The presence of economies of scale can also give a firm natural market power because it allows the firm to produce goods or services more efficiently and at a lower cost than its competitors. Individual expertise in a field, however, does not give a firm natural market power.
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Tommy Richards is paid $20.50 an hour for a regular 40-hour week. He earns time and a half if he works overtime. This week Richards worked his regular 40 hours plus 9 hours of overtime. What is his total pay
Answer:
$1,094.50
Explanation:
Regular pay is $20.50
Over time pay is $20.50 x 1.5 = $30.75
Tommy earned as follows.
Regular hours : 40 x $20.50 = $820
Overtime hours: 9 x $30.75 =$274.50
Total amount earned
= $820 + $274.50
=$1,094.50
Required-: JOURNAL ENTRY (ACCOUNT)
Paid Rs. 28,000 to Sansee stores in fullsettlement of Rs. 30,000 by cheque please help Me with this. I'm still confused in it.
- Hey there , ronisha!
Answer:
\( \large{ \tt{SEE \: THE \: ATTACHED \: PICTURE}}\)
\( \large{ \tt{E \: X \: P \: L \: A \: N \: A \: T \: I \: O \: N}} : \)
Full settlement generally means DISCOUNT ALLOWED. Firstly , Read out the question and try to understand. It says we purchased some stuffs of Rs 30000 from the sansee stores and we payed Rs 28000 in full settlement which implies that we received the discount of Rs 30000-28000 i.e Rs 2000. You must have known the rules for debit and credit. As we know In case of personal account , Debit : The receiver , We have sansee stores as the receiver so we placed it in debit side. Remember: When the question says that the cash is payed through cheque , you should always consider cheque as a bank. Now , In the case of personal account , Credit : The giver. Who's the giver? Of course , bank! So , we placed it in credit side. Now , In case of nominal account , Credit : the incomes or gains . The question says we received the discount so obviously it's not expenses. So, We placed discount received in credit side. You must have studied that Every debit should have equal credit. And we're done!- Hope this helps! Please let me know if you have any questions regarding my answer and also don't hesitate to reach out to me if you need any other help! :)
match each hypothetical country’s aging structure to its most likely economic situation.
It should be noted that the aging structure data is important as it allows the rate of growth to be associated with the population in a country.
Your information is incomplete. Therefore, an overview of the topic will be given. There are typically three age structures which are:
The children who are under 15 years old.The working-age who are between 15 - 64 years.The elderly ones who are 65 years and older.It should be noted that an aging population lower the labor-force participation and slows down economic development in the country.
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what is the proper adjusting entry at december 31, the end of the accounting period, if the balance in the prepaid insurance account is $8,750 before adjustment, and the unexpired amount per analysis of policies is $3,750?
The difference between the two amounts, $4,500, can be used as the amount being accounted for as insurance expense at the end of the period because there will be a balance of $3,250 after the adjusting entry.
Adjusting entrance is what?Journal entries known as adjusting entries are used in accounting to place income and expenses on the appropriate time period. They are frequently made at the conclusion of a financial period. The revenue recognition concept is the cornerstone for correcting entries pertaining to unearned and accrued revenues in accrual-basis accounting.
They are sometimes referred to as balance day adjustments because they are completed on balance day. According to the matching principle of accrual accounting, revenues, and associated costs are recorded within the same accounting period. However, the actual money may be paid or received at a later time.
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How do the four pillars of management relate towards
organizational efficiency and effectiveness? Noting your response,
in what ways could advance management concepts assist a public
administrator to
The four pillars of management, also known as the functions of management, are planning, organizing, leading, and controlling. These functions are essential for achieving organizational efficiency and effectiveness.
Planning involves setting goals, determining strategies to achieve those goals, and developing plans to coordinate activities. Organizing involves allocating resources, designing processes, and establishing structures to carry out plans. Leading involves motivating employees, directing their efforts, and communicating with them. Controlling involves monitoring performance, comparing it to established standards, and making necessary adjustments.
By effectively carrying out these four functions, organizations can improve their efficiency and effectiveness. For example, through effective planning, an organization can identify opportunities for growth and develop strategies to exploit them. Through effective organizing, an organization can allocate resources in a manner that maximizes their impact. Through effective leading, an organization can create a culture of innovation and continuous improvement. And through effective controlling, an organization can identify areas where performance is falling short and take corrective action.
Advanced management concepts such as agile management, lean management, and design thinking can assist public administrators in improving organizational efficiency and effectiveness. For example, agile management can help public administrators respond quickly to changing circumstances and deliver services more efficiently. Lean management can help public administrators reduce waste and improve service quality. And design thinking can help public administrators identify new approaches to service delivery that better meet the needs of citizens.
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Security investors incur varying degrees of risk. Business risk is related to
a. security price fluctuations. b. price level changes in the economy. c. the potential success or failure of the firm. d. the debt-to-equity ratio of the firm. e. investor behavior in the market.
Business risk is related to the potential success or failure of the firm. Therefore, option c. is the correct option.
Business risk refers to the uncertainty and potential negative outcomes associated with the operations and financial performance of a specific firm. It is primarily related to the potential success or failure of the firm itself. The level of business risk depends on various factors, including the industry in which the firm operates, competitive dynamics, management capabilities, market conditions, and other internal and external factors.
Business risk is distinct from security price fluctuations (option a), which fall under market risk. Price level changes in the economy (option b) are related to inflation and purchasing power, but they do not directly measure the risk associated with a specific firm's operations. The debt-to-equity ratio of the firm (option d) is a financial metric that reflects the capital structure of the company, but it does not directly capture the potential success or failure of the firm. Lastly, investor behavior in the market (option e) is influenced by various factors and can contribute to market volatility, but it does not define business risk itself.
Therefore, the correct option that is directly related to business risk is option c, the potential success or failure of the firm.
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A company's value chain Multiple choice question. is not analytically useful if it is a non-manufacturing company. includes only the company's supply chain management activities that add value for customers. includes only the primary activities that the company performs. identifies the company's internal activities that create value for customers.
Answer:
identifies the company's internal activities that create value for customers.
Explanation:
A value chain is a business model that shows the activities in the full range required for developing the product or service. Here the motive of value chain analysis is to rise the production efficiency so that the company is able to delivered the maximum value at the lesser cost
Also, it identified the internal activities of the company that could develop and add the value to the customers
a flexible budget performance report indicates a sales variance of $200 unfavorable. the variance was likely caused by: multiple choice question. selling units for less than the budgeted price selling more units than budgeted selling units for more than the budgeted price
The variance was likely caused by selling units for less than the budgeted price.
How do you calculate a flexible budget's variance?For instance, a flexible budget model is created with the expectation that the cost per unit will be $100. 800 units were sold in the most recent month, with a $102 average selling price per unit. By multiplying 800 units by $2 per unit, the favorable flexible budget variance for revenue equals $1,600.
What is the difference between the actual sales results and the flexible budget?A flexible budget variation is a calculated discrepancy between the budget that was anticipated and the outcomes. In the aforementioned illustration, the corporation has a goal production capacity of 85%. The estimated or anticipated 212,500 unit sales volume results in a $740,625 profit.
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In the early days of the industrial revolution, indirect manufacturing costs:
A. were highly correlated with the use of labor.
B. were relatively large compared to the direct costs of producing a product.
C. were a significant cost of producing most products.
D. all of the above answers are correct.
In the early days of the industrial revolution, indirect manufacturing costs encompassed various expenses that were associated with the production process but were not directly attributable to specific products or units (option d).
These costs included items like factory overhead, utilities, maintenance, supervision, and other support services. Firstly, these indirect manufacturing costs were highly correlated with the use of labor. Since labor was a significant component of production during that time, many indirect costs were incurred as a result of employing and managing a large workforce.
Secondly, these indirect costs were relatively large compared to the direct costs of producing a product. Factors such as overhead expenses, infrastructure investments, and the need for specialized machinery contributed to the substantial size of indirect costs in relation to direct production costs.
Lastly, these indirect manufacturing costs were a significant cost of producing most products. They represented a substantial portion of the overall cost structure for manufacturing operations, highlighting their importance and impact on the profitability and competitiveness of businesses during the early stages of industrialization.
Therefore, all of the given answers accurately describe the characteristics of indirect manufacturing costs in the early days of the industrial revolution. The correct option is d.
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rank the following three stocks by their level of total risk, highest to lowest. rail haul has an average return of 12 percent and standard deviation of 38 percent. the average return and standard deviation of idol staff are 15 percent and 26 percent; and for poker-r-us they are 9 percent and 30 percent.
Based on the standard deviation, which is a measure of total risk, the ranking of the three stocks from highest to lowest level of total risk is as follows:
1. Rail Haul: Standard deviation of 38%
2. Poker-R-Us: Standard deviation of 30%
3. Idol Staff: Standard deviation of 26%
The standard deviation is a statistical measure that reflects the amount of variability or dispersion in a set of data.
In the context of investment, it is used as a measure of total risk, or the degree of uncertainty associated with the potential returns of an investment.
Remember, higher standard deviation indicates higher total risk.
Investors should consider the level of total risk associated with an investment when making investment decisions. Higher total risk investments may offer higher potential returns, but they also come with a higher level of uncertainty and volatility.
Lower total risk investments may offer more stable returns, but they may have lower potential returns. Ultimately, the decision to invest in a particular stock should be based on a careful analysis of a variety of factors, including risk tolerance, investment goals, and market conditions.
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List two effects of the invention of the cotton gin.
Answer:
While it was true that the cotton gin reduced the labor of removing seeds, it did not reduce the need for slaves to grow and pick the cotton. In fact, the opposite occurred. Cotton growing became so profitable for the planters that it greatly increased their demand for both land and slave labor.
Answer:
Explanation:
reduced the time and labor required to produce cotton for market
enabled farmers to meet higher demand
cemented slavery in the South
made cotton the dominant crop in the South
suppose the united states has a tariff of $80 per barrel on imported wine. then, the u.s. joins a free trade area with australia. what will be the change in the consumer surplus after the u.s. enters into a free trade argreement with australia
If the price of imported wine is less than $80 per barrel in Australia, then the US tariff will be eliminated when the agreement takes effect, resulting in an increase in consumer surplus.
Surplus refers to the amount by which a company's revenues or income exceed its expenses or costs over a specific period of time. It is the opposite of a deficit, which occurs when expenses exceed revenues. Surplus is also commonly referred to as "profit," "earnings," or "income."
The surplus is an important financial metric that indicates the financial health and profitability of a company. It can be used to reinvest in the business, pay dividends to shareholders, reduce debt, or save for future investments. A surplus can also be used to finance expansion or diversification of a company's operations.
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What kinds of resources will a green design company choose?
O Resources that are sustainable and that won't negatively impact people socially or economically.
O Resources that are sustainable for 10 years.
O Resources that are hard to find that won't negatively impact people socially or economically.
O None of them.
O Resources that are rarely used and therefore will make the company more profit.
Answer: A green design company will choose resources that are sustainable and that won't negatively impact people socially or economically.
Explanation:
A green design company will most likely choose resources that are sustainable and won't negatively impact people socially or economically. This means that they will prioritize materials and resources that are eco-friendly, renewable, and non-toxic.
A green design company may also prioritize resources that have a long lifespan, as this reduces waste and minimizes the need for replacement.
It is unlikely that a green design company would choose resources that are hard to find or rarely used, as this could make their products and services more expensive and less accessible.
Gary's Gas and Frank's Fuel are the only two providers of gasoline in their small town. Gary and Frank decide to form a cartel to raise the price of gasoline. The total industry profits are highest when ________, and Gary's profits are highest when ________. Group of answer choices both Gary and Frank cheat on the agreement; both Gary and Frank cheat on the agreement both firms cheat on the agreement; Gary cheats on the agreement and Frank does not cheat neither firm cheats on the agreement; Gary cheats on the agreement and Frank does not cheat neither firm cheats on the agreement; neither firm cheats on the agreement
Answer:
neither firm cheats on the agreement; Gary cheats on the agreement and Frank does not cheat
Explanation:
Gary's Gas and Frank's Fuel operate an oligopoly.
An Oligopoly is when there are few large firms operating in an industry. While, a monopoly is when there is only one firm operating in an industry.
Oligopolies are characterised by:
price setting firms product differentiation profit maximisation high barriers to entry or exit of firms downward sloping demand curveA cartel is when two or more producers of a certain good or service come together to regulate either the price of their good or the quantity of their goods that would be supplied. The producers that come together are usually competitors.
A tight oligopoly is when at most 8 firms hold at least 50% of the market share. there is usually cooperation among the firms
If both firms collude to increase prices, there would be an increase in total profits.
Gary's profits are highest when he cheats on the collusion and sells at a lower price. He would sell more due to his lower prices than Frank.
Information about 3 securities is presented here: Security Beginning-of-Year Price End-of-Year Price Interest/Dividend Paid
Stock 1 $ 42.50 $ 46.75 $ 1.50
Stock 2 $ 1.25 $ 1.36 $ -
Bond 1 $ 1,020.00 $ 1,048.00 $ 41.00
Questions: a. Assuming Interest and dividends are paid annually, calculate the annual holding period return on each security. b. During the year, management of Stock 2 spent $10M, of $.50 per share, repurchasing 7.7 million of the company's shares. How does this information affect calculation of the holding period return of the stock?
Influences the overall holding period return..to calculate the annual holding period return on each security, we can use the following formula:
holding period return = ((end-of-year price + interest/dividend) - beginning-of-year price) / beginning-of-year price
a. calculating the annual holding period return on each security:
for stock 1:holding period return = (($46.75 + $1.50) - $42.50) / $42.50
holding period return = $5.75 / $42.50holding period return ≈ 0.1353 or 13.53%
for stock 2:
since no dividends or interest are paid, the holding period return will be based solely on the change in price.holding period return = ($1.36 - $1.25) / $1.25
holding period return = $0.11 / $1.25holding period return = 0.088 or 8.8%
for bond 1:
holding period return = (($1,048.00 + $41.00) - $1,020.00) / $1,020.00holding period return = $1,069.00 / $1,020.00
holding period return ≈ 1.046 or 4.6%
b. the information about stock 2's share repurchase affects the calculation of the holding period return. the repurchase of shares reduces the number of outstanding shares, which can lead to an increase in the stock price. however, since the repurchase price per share and the total number of shares repurchased are not provided, we can't determine the exact impact on the holding period return without this information.
if the repurchase price per share was below the beginning-of-year price, the holding period return would likely be higher. conversely, if the repurchase price per share was above the beginning-of-year price, the holding period return would likely be lower. the repurchase activity affects the capital gains or losses realized by shareholders and
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The document that would tell you what you received and spent over the past month is the A. Balance sheet B. Cash flow statement C. Budget D. Bank statement E. Credit card statement . The document that would report your current financial position is the A. Balance sheet B. Cash flow statement C. Budget D. Bank statement E. Credit card statement
The document that would tell you what you received and spent over the past month is the cash flow statement.
It summarizes all the cash inflows and outflows for a specific period of time. On the other hand, the document that would report your current financial position is the balance sheet. It shows the assets, liabilities, and equity of an individual or company at a specific point in time. A budget is a plan for future income and expenses, while a bank statement and a credit card statement show transactions made through those respective accounts. It is important to review and understand all these documents to have a clear picture of your financial situation and make informed decisions.
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What is working capital?
Answer:
Working capital, also called net working capital (NWC), represents the difference between a company’s current assets and current liabilities.
NWC is a measure of a company’s liquidity and short-term financial health.
A company has negative NWC if its ratio of current assets to liabilities is less than one.
Positive NWC indicates that a company can fund its current operations and invest in future activities and growth.
High NWC isn’t always a good thing. It might indicate that the business has too much inventory or is not investing its excess cash.
Explanation:
can you me as brainliest if its right? i just need a few more to rank up! ^-^
Also have a great day and good luck in your studies!
answer:
the capital of a business which is used in it day-to-day trading operation, calculated as the current assets minus the current liabilities
Gray uses Hofstede's cultural values that were discussed in Chapter 1 to:
a Set forth accounting values that can be used to define a country's cultural foundation with respect to financial reporting
b Set forth corporate governance provisions that define an ethical organization culture
c Define what is meant by the public interest in accounting
d Define what is meant by internal controls over financial reporting in a cultural context
Answer:
a. Set forth accounting values that can be used to define a country's cultural foundation with respect to financial reporting.
Explanation:
Gray Hofstede's presented six dimensions of cultural values. Power distance index, Individualism vs collectivism, Masculinity vs Femininity, Uncertainty Avoidance Index, Long term vs short term orientation, Indulgence vs Restraint. He used footing for comparing state based accounting values. He set accounting values to define a country's cultural foundation with respect to financial reporting.
how can a reduction in taxation be used to influence aggregate demand
Answer:
shifting the aggregate demand curve to the right.
Explanation:
Mark receives $400 per week for salary as a sales associate. His quota is $2750 and his commission is 10%. This week, Mark sold $29,000 in merchandise, $1800 of which was returned. calculate his gross pay.
Answer:
$3,120
Explanation:
A sales quota is the minimum volume a salesperson is expected to move to earn commissions.
Mark's quota is $2750
In the week, mark sold $29,000, but $1,800 was returned. The net sales were: $29,000 - $ 1,800 = $27,200
Mark is a 10% commission. The commissions will be 10% of net sales
=10/100 x $27,200
=0.1 x $27,200
=$2,720
gross pay will be weekly earnings plus commissions
=$400 +$2,720
=$3,120
In two to three sentences, answer the following:
What information you can obtain from a stock quote?
Answer:
The information that we can get from stock quote is about bidding price, details of previous bidding, etc.
Explanation:
A stock quote can be defined as the last price of stock of exchange. It is the price on which the traders and the buyers consented in their last trade or exchange.
The details that a stock quote provides is the price of last bid, volume of trade, bid price, volume of trade. The buyers and traders can access this information either on their phones, newspapers, news media, online portals etc. The stock quote is shown in decimals.
You have 20 percent market share of an industry that sells 1,000 total units each year. You know that each unit contributes $2,000 to profits. If your fixed costs amount to $250,000, what is your profit or loss for the year?
(place your answer in the space below with no $ sign)
The total cost is the sum of fixed cost and variable cost. The variable cost here is $400,000. Substituting the values in the formula, the profit or loss can be calculated as -$250,000. Therefore, the answer is a loss of $250,000.
Given,
Market share = 20%
Total number of units = 1000
Profit contribution by each unit = $2000
Fixed cost = $250000
Formula to calculate the profit is,
Profit = Total revenue - Total cost
Total revenue = Price × Quantity sold
Total revenue = $2000 × 200
Total revenue = $400000
Total cost = Fixed cost + Variable cost
Variable cost = Total cost - Fixed cost
We know that,
Market share = Quantity sold ÷ Total market size
Quantity sold = Market share × Total market size
Quantity sold = 20/100 × 1000
Quantity sold = 200
Variable cost = $2000 × 200
Variable cost = $400000
Total cost = $250000 + $400000
Total cost = $650000
Profit = Total revenue - Total cost
Profit = $400000 - $650000
Profit = - $250000
Thus, the main answer is Loss of $250,000 for the year.
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suppose you buy a share for $100. at the end of one year the share price is $114 and a $1 dividend is paid. if you do not sell the share, your total annual return is . multiple choice question. 1% 15% 14% 0.93%
Suppose you buy a share of stock for $100. At the end of one year, the stock price is $114 and a $1 dividend is paid. If you do not sell the stock, your total annual return is 15%.
(1/100) + ((114-100)/100) = 15%
Shares, also known as stocks, are securities that represent partial ownership of the issuing company. A unit of stock is called a "share" and entitles the owner to a portion of the company's assets and profits equal to the shares held by the owner. Equity means a share of ownership in a company.
An example stock is 100 shares of Disney Corporation stock. Buying stock usually requires the help of a stockbroker, as you cannot call the exchange and ask them to buy the stock directly. When you use a stockbroker, whether it's a human or an online platform, you can choose which investments to buy or sell and how to trade them.
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A financial institution that accepts deposits makes loans and provides other services as a nonprofit organization is called a:
A. Credit Union
B. Retail Bank
C. Title Pawn Lender
D. Payday Lender
Credit Unions are nonprofit financial institutions that accept deposits, provide loans, and offer other services. As a result, choice (A) is right.
What is meant by a nonprofit organization?A nonprofit organization (NPO) or non-profit organization is a legal entity organized and operated for a collective, public, or social benefit, as opposed to an entity that operates as a business with the goal of making a profit for its owners. It is also referred to as a non-business entity,[1] or nonprofit institution,
The non-distribution constraint applies to nonprofit organizations, which means that any surplus funds must be used to further their mission rather than being distributed to other parties.
A wide range of organizations, including certain political organizations, schools, business organisations, churches, social clubs, and consumer cooperatives, are nonprofit. Governments may grant tax-exempt status to nonprofit organizations, and some may be eligible for tax-deductible donations. However, an organization can establish as a nonprofit organization without obtaining tax-exempt status.
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