you are an administrative assistant in the purchasing department. Another administrative assistant is getting married in three weeks. Rumor has it that after the wedding, she will not be returning, and two of your peers have come to you asking if it is true because they want to apply for her job. you have not seen an official announcement, however, the assistant did tell you that she plans not to come back. What should you say to your two coworkers?
In this situation, You should tell your coworkers that you are unsure and that it is not yet official announced.
Co - workers.
Co workers refers a person with whom one works, typically someone in a similar role or at a similar level within an organization.
Given,
Here we have given that, you are an administrative assistant in the purchasing department. And another administrative assistant is getting married in three weeks. There is a rumor has it that after the wedding, she will not be returning, and two of your peers have come to you asking if it is true because they want to apply for her job. Now, you have not seen an official announcement, however, the assistant did tell you that she plans not to come back.
Here we need to find how you should handle this situation.
While we looking into the given question, we have identified the following,
There are 2 administrative assistant in your company.
One is you and another one is a girl and she get married in three weeks. And she also planned to resign after her marriage but this resignation is not officially confirmed.
So, in this situation, two of your peer interested for the position and asking you about the recruitment process.
Here you have to reply the co workers that the resignation is not conformed and if it is officially announced they you have the option to apply for that position.
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On average, for every $1.00 that is collected by the credit card companies in principal, how much is collected in interest and fees?
Answer:
On average for every $1.00, the credit companies collectection in total is 1.50.
Explanation:
On average for every $1.00, the credit companies collectection in total is 1.50.
1.What is a business transaction?
Answer:
A business transaction is an event involving an interchange of goods, money or services between two or more parties.
Explanation:
A business transaction is an event involving an interchange of goods, money or services between two or more parties. The business transacted can be between two parties engaged in business and conducting the transaction for their mutual benefits, or between a business entity, like a retail shop, and a customer.
The income earned by whoever has the right to import the good at the world price and sell it in the domestic market at the higher quota price. The dollar value of a quota rent is equal to the size of the quota times the difference between the quota price and the world price.
The term for the income earned by whoever has the right to import a good at the world price and sell it in the domestic market at a higher quota price is quota rent.
Quota rent is the economic profit earned by those who hold the rights to import goods under a quota system. The dollar value of a quota rent is equal to the size of the quota multiplied by the difference between the quota price and the world price. The quota price is the higher price at which goods can be sold in the domestic market due to the quota, while the world price is the lower price at which goods can be obtained in the international market. Quota rents can create incentives for governments or other entities to allocate quota rights, which can lead to economic inefficiencies and rent-seeking behavior.
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Measuring conversions is a good way to calculate your ROI. Which of the following is a commonly calculated conversion? a shares, b sediment, c downloads, d likes
A commonly calculated conversion from the list is shares. The answer to this question is option a.
What are shares?Shares can be described as a unit that is called mutual funds. The owner of a share is regarded as a shareholder.
Shares can be converted to be money. Therefore it is the best answer to this question.
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The procedure that estimates the interest-rate sensitivity of a bank's assets and liabilities is called:
a. managing credit risk.
b. estimating operating risk differential.
c. trading risk minimization.
d. gap analysis.
The procedure that estimates the interest-rate sensitivity of a bank's assets and liabilities is called gap analysis. The correct option is d.
Gap analysis is a technique used by banks to measure and manage the interest rate risk associated with their assets and liabilities. It involves calculating the difference, or gap, between the interest rate-sensitive assets and liabilities of a bank over a particular period of time.
The interest rate-sensitive assets of a bank include loans, securities, and other investments that are affected by changes in interest rates. The interest rate-sensitive liabilities of a bank include deposits, borrowings, and other liabilities that are affected by changes in interest rates.
Thus, the ideal selection is option d.
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hich pricing strategy involves setting a high price for an exclusive, high-end product?
Besides the dollar cost, what other costs should you consider when comparing alternative solutions to a problem or goal?
Answer:
Management alternatives could be compared based on how they impact ... Ultimately, identifying a widely acceptable solution requires that each ... It might be agreed that the cost elements of the decision problem are ... It may be desirable during a later step in the decision process to convert other impacts into dollars.
Management cost should be considered when seeking for solutions to a problem or goal.
Dollar cost in this context means cost of purchasing (i.e. fixed cost) to achieve a solution to a problem or goal.
For instance, when a person plans to establish a Private Kindergarten school, the dollar cost will include cost of rent, desk, chairs and etc.
However, the other cost one should consider is the Management cost will will help to achieve the goal. The more qualified and equipped the management, the higher the possibility of achieving the solution to a problem.
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You are required to fire a worker for persistent absenteeism, but you know that her absence is because she is caring for her father who is in the advanced stage of Alzheimer’s disease. You feel that the organization is being inhumane in its attitude, but your boss remains insistent. What would you do?
which of the following would render title to land unmarketable?
An existing violation of a zoning ordinance would render the title to land unmarketable. (Option C)
An existing violation of a zoning ordinance can render the title to land unmarketable because it represents a legal non-compliance that could result in potential liabilities or restrictions on the property. Zoning ordinances are regulations that govern land use, building codes, and other aspects of development within a specific area. A violation of these ordinances may indicate that the property is not in compliance with the designated zoning requirements, which could lead to legal consequences or limitations on its use.
Unlike options A and B, which involve minor encroachments or visible easements, a zoning violation has a more significant impact on the property's marketability. Zoning violations can result in penalties, fines, or even orders to cease certain activities on the property. Consequently, potential buyers may be hesitant to acquire a property with existing zoning violations, as it could lead to future legal disputes or restrictions on their intended use of the land. Therefore, a violation of a zoning ordinance is more likely to render the title to land unmarketable.
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The complete question is: Which of the following would render title to land unmarketable?
A. A very slight encroachment onto an adjacent landowner's land
B. A visible easement that benefits the property
C. An existing violation of a zoning ordinance
D. A mortgage that the seller is poised to satisfy at closing
There are 10,000 shares of $20 par value cumulative 7 percent preferred stock outstanding, and 90,000 shares of common stock outstanding. Last year, the preferred stock did not receive its dividend because of a loss. This year, dividends of $50,000 are distributed to shareholders.
Answer:
Since the preferred dividends are cumulative, any dividends not paid last year will be paid this year before any common dividends are paid.
Preferred dividends = 10,000 x $20 x 7% x 2 = $28,000
Dividends per preferred stock = $28,000 / 10,000 = $2.80
Common stocks dividends = $50,000 - $28,000 = $22,000
Dividends per common stock = $22,000 / 90,000 = $0.24
The value of the preferred dividends will be $28000 and the dividends will be $2.80.
From the information given, it should be noted that the preferred dividends will be calculated thus:
= 10000 × 20% × 7% × 2
= 10000 × 0.2 × 0.07 × 2
= $28000
Dividend per preferred stock will be:
= $28000/10000
= $2.80
The common stocks dividend will be:
= $50000 - $28000 = $22000
The dividend per common stock will be:
= $22000/90000 = $0.24.
Preferred stock is 2.80 and common stock is 0.24.
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From each paycheck of your afterschool job, you’re able to save $45 toward the coat. You get paid twice a month. How many months will it take you to save enough money to buy your North Face jacket.
Answer:4
Explanation:The total in 4 months would equal 360
4 months will it take you to save enough money to buy your North Face jacket.
Saving per month based problem;What information do we have?
Amount save per paycheck = $45
Amount of jacket = 350 (Missing data)
Amount save per month = 2 × Amount save per paycheck
Amount save per month = 2 × 45
Amount save per month = $90
Number of months need = 350 / 90
Number of months need = 3.88
Number of months need = 4 months
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how do i make a sandwich if my teacher was 35 and her husband was 3 and i was 36
Answer:
WHATTTTTTT XD
Explanation:
Can i have a brainiest i kind of need them
Also you might need therapy
Answer:
first how in heck are you till in school and sec HOW IN THE HELL IS HE 3
explanation:
Under rational expectations, if a central bank implements a contractionary monetary policy: O consumers and firms will take note of the policy change, anticipate the eventual reduction in inflation, and adjust their expectations accordingly. consumers and firms will react in such a way that aggregate supply and aggregate demand shift in the same direction, creating an output gap. O both aggregate demand and potential output will change. O periods of unemployment will be very short.
Under rational expectations, if a central bank implements a contractionary monetary policy, consumers and firms will anticipate the eventual reduction in inflation and adjust their expectations accordingly. As a result, aggregate supply and aggregate demand will shift in the same direction, potentially creating an output gap.
Rational expectations theory suggests that individuals form their expectations about future economic variables, such as inflation, based on all available information, including their understanding of how policymakers will act. In the context of a contractionary monetary policy, which aims to reduce inflationary pressures, consumers and firms are expected to anticipate the central bank's policy change and adjust their expectations accordingly.
When individuals expect a contractionary policy to be implemented, they will adjust their behavior, such as reducing spending or investment, in anticipation of lower inflation. This adjustment in expectations and subsequent behavior can influence both aggregate supply and aggregate demand.
If consumers and firms react to the contractionary policy by reducing their spending and investment, it can lead to a decrease in aggregate demand. At the same time, firms may adjust their production levels and employment in response to lower expected demand, potentially leading to an output gap, which is the difference between actual output and potential output.
Therefore, under rational expectations, the implementation of a contractionary monetary policy can lead to adjustments in expectations, changes in both aggregate supply and aggregate demand, and the possibility of an output gap.
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Post the following November transactions to T-accounts for Accounts Payable, Inventory, and Cash, indicating the ending balance. Assume no beginning balances in Accounts Payable and Inventory, and a beginning Cash balance of $36,000. A. Purchased merchandise inventory on account, $16,900. B. Paid vendors for part of inventory purchased earlier in month, $11,100. C. Purchased merchandise inventory for cash, $10,400.
Answer and Explanation:
The preparation of the T-accounts are as follows:
For Account payable
Cash $11,100 Inventory $16,900
Balance $5,800
Total $16,900 Total $16,900
For Inventory
Account payable $16,900
Cash $10,400 Balance $27,300
Total $27,300 Total $27,300
For cash
Opening balance $36,000 Account payable $11,100
Inventory $10,400
Balance $14,500
Total $36,000 Total $36,000
A ball of mass 1.5 kg is thrown upward. It leaves the thrower's hand with a velocity of 10 m/s. The following questions refer to the motion after the ball leaves the thrower's hand. Assume that the upward direction is positive. Please show me the work, I am lost, thank you
A. How long before the ball returns to the throwers hand?
B. What is final velocity of the ball just before it reaches the hand?
C. What is the change in momentum of the ball?
D. What is the impulse calculated from the change of momentum?
E. from the impulse, find the average force acting on the ball. What causes the force?
After the ball hits the thrower's hand it comes to a rest in .25 sec.
A. What is the net impulse exerted on the ball by the hand?
B. What is the average force exerted by the hand on the ball during the .25sec that the ball is being stopped?
C.What is the average force exerted by the ball on the hand during this time?
A. The ball takes approximately 1.02 seconds to return to the thrower's hand.
B. The final velocity of the ball just before reaching the hand is -10 m/s.
C. The change in momentum of the ball is -30 kg·m/s.
D. The impulse calculated from the change in momentum is -30 kg·m/s.
E. The average force acting on the ball is approximately -29.41 N, caused by gravity.
After hitting the thrower's hand:
A. The net impulse exerted on the ball by the hand is 15 kg·m/s.
B. The average force exerted by the hand on the ball during the 0.25 seconds is 60 N.
C. The average force exerted by the ball on the hand during this time is also 60 N, but in the opposite direction.
A. To find the time before the ball returns to the thrower's hand, we can use the equation of motion for vertical motion:
v = u + at
where:
v = final velocity (0 m/s when the ball reaches the thrower's hand)
u = initial velocity (10 m/s when the ball leaves the thrower's hand)
a = acceleration due to gravity (-9.8 m/s^2, considering the downward direction as negative)
t = time
Rearranging the equation, we have:
0 = 10 - 9.8t
Solving for t, we get:
t = 10/9.8 ≈ 1.02 seconds
Therefore, it takes approximately 1.02 seconds for the ball to return to the thrower's hand.
B. The final velocity of the ball just before it reaches the hand is the same as its initial velocity, but in the opposite direction. So the final velocity is -10 m/s.
C. The change in momentum of the ball is given by the equation:
Δp = m(v_f - v_i)
where:
Δp = change in momentum
m = mass of the ball (1.5 kg)
v_f = final velocity (-10 m/s)
v_i = initial velocity (10 m/s)
Δp = 1.5(-10 - 10) = -30 kg·m/s
The change in momentum is -30 kg·m/s.
D. The impulse is defined as the change in momentum. So the impulse calculated from the change in momentum is -30 kg·m/s.
E. To find the average force acting on the ball, we can use the equation:
Impulse = average force × time
Since we have the impulse (-30 kg·m/s) and the time (1.02 s), we can rearrange the equation to solve for the average force:
Average force = Impulse / time = -30 kg·m/s / 1.02 s ≈ -29.41 N
The negative sign indicates that the force is acting in the opposite direction to the motion of the ball. In this case, the force is due to gravity, which causes the ball to decelerate as it moves upward and accelerate as it moves downward.
After the ball hits the thrower's hand and comes to rest in 0.25 seconds:
A. The net impulse exerted on the ball by the hand is equal to the change in momentum. Since the ball comes to rest, the final velocity is 0, and the initial velocity is -10 m/s. Thus, the change in momentum is given by:
Δp = m(v_f - v_i) = 1.5(0 - (-10)) = 15 kg·m/s
Therefore, the net impulse exerted on the ball by the hand is 15 kg·m/s.
B. The average force exerted by the hand on the ball during the 0.25 seconds can be calculated using the formula:
Average force = Impulse / time = 15 kg·m/s / 0.25 s = 60 N
The average force exerted by the hand on the ball during the 0.25 seconds is 60 Newtons.
C. The average force exerted by the ball on the hand during this time is equal in magnitude but opposite in direction to the force exerted by the hand on the ball. Therefore, the average force exerted by the ball on the hand is also 60 Newtons, but in the opposite direction
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Note this question belongs to the subject Physics.
Which career is best suited for people who have a high school diploma?
- Administration and information support.
- Human resources.
- Business financial management and accounting.
- Business analysis.
Answer:
It should be Human resources because it is the least technical compared to the other three options.
Carol works as a manager in her company. The vice president of finance occasionally advises her about her work, although she doesn’t directly report to him. What kind of organizational structure does Carol’s company follow?
Carol’s company follows the BLANK.
Based on the given scenario in which Carol works as a manager in her company and the vice president of finance occasionally advises her about her work, although she doesn’t directly report to him. The type of organizational structure that Carol's company follows is a Matrix Organizational Structure.
A matrix organizational structure is one in which people report to more than one manager. In a matrix organizational structure, the employees and managers are grouped according to specific functions and projects. Rather than being grouped based on their functions alone, individuals are grouped based on their product or project-related skills and experience.
The matrix organizational structure combines the features of both the functional and divisional organizational structures. It is suitable for companies that frequently change and demand a high level of communication across all departments and divisions.
The key advantages of using the matrix organizational structure include, but are not limited to the following:
It enhances effective resource utilizationIt enhances flexibility and adaptability of resourcesIt enhances coordination between different functional unitsIt enhances communication and information exchangeIt enhances the sharing of knowledge and expertise among employeesTherefore, Carol's company follows the Matrix Organizational Structure.
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In zombia, it takes 10 resources to produce 1 ton of cocoa and 13. 5 resources to produce 1 ton of rice. In south curmudgea, it takes 40 resources to produce 1 ton of cocoa and 20 resources to produce 1 ton of rice. Zombia has a comparative advantage over south curmedgea in.
The theory of comparative cost advantage is based on many assumptions and one of those assumptions is that "the production of commodities is done under the law of constant costs or returns".
It is presumable that constant returns to scale will make computations easier and produce useful generalizations that may be applied to the economy. Diminishing returns to scale is a more sensible assumption that is not made in the theory of comparative cost advantage, meaning that when inputs are employed more and more, their marginal product or contribution to production decreases. Furthermore, according to the comparative cost advantage theory, once a nation has determined its comparative advantage, all of its resources are put toward producing that good; as a result, the production process should reflect diminishing returns to scale rather than assuming constant returns to scale.
Any item that is readily available to us in our environment, is commercially viable, has access to modern technology, is culturally sustainable, and helps us to meet our requirements and fulfill our wants is referred to as a resource. Based on their availability, resources can be roughly classified into categories that are renewable and non-renewable.
They can also be divided into real and potential categories based on their level of development and use, biotic and abiotic categories based on their origin, and localized and omnipresent classifications depending on their dispersal (private, community-owned, national, and international resources). An item might develop into a resource over time as technology develops. Utilizing resources effectively can lead to increased income, efficient system operation, or improved well-being.
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The ledger of Skysong, Inc. on March 31 of the current year includes the selected accounts below before adjusting entries have been prepared.
Answer: See Image Below
The adjusting entries for Skysong, Inc. for March is prepared from the given selected accounts before adjusting entries have been prepared.
What are adjusting entries?Adjusting entries are journal entries that are typically made at the end of an accounting period to allocate income and expenditure to the period in which they actually occurred. Under accrual-basis accounting, the revenue recognition principle serves as the foundation for making adjusting entries for unearned and accrued revenues.
The adjusting entries are as follows:-
No. Date Account Tiles and Explanation Debit Credit
1. March 31 Depreciation expense 756
Accumulated Depreciation expense 756
2. March 31 Unearned Rent revenue 5580
Rent revenue 5580
3. March 31 Interest Expense 360
Interest payable 360
4. March 31 Supplies Expense 1935
Supplies 1935
5. March 31 Insurance Expense 1080
Prepaid Insurance 1080
Therefore, the adjusting entries are prepared on March 31.
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the length of time between the acquisition of inventory by a firm and the payment by the firm for that inventory is called the: operating cycle. inventory period. accounts receivable period. accounts payable period. cash cycle.
The length of time between the acquisition of inventory by a firm and the payment by the firm for that inventory is called the cash cycle.
This is a critical metric for any business as it measures the time it takes for a company to convert its investments in inventory back into cash. The cash cycle is calculated by adding the inventory period (the time it takes to sell the inventory) to the accounts receivable period (the time it takes to collect payments from customers) and then subtracting the accounts payable period (the time it takes to pay suppliers for inventory). The cash cycle is a crucial measure of a company's liquidity and efficiency.
A shorter cash cycle means that the business is able to convert its investments in inventory back into cash quickly, which is essential for maintaining healthy cash flow and profitability. Companies can improve their cash cycle by optimizing their inventory management, improving their collection processes, and negotiating better payment terms with their suppliers.
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an economist believes that inflation is caused when there is too much money chasing too few goods this Theory can be best described as
The theory that inflation is caused when there is too much money chasing too few goods can best be described as the Quantity Theory of Money.
The Quantity Theory of Money is a classical economic theory that suggests a direct relationship between the money supply in an economy and the price level of goods and services. According to this theory, an increase in the money supply, all else being equal, will lead to an increase in the overall price level of goods and services.
The key idea behind this theory is that if there is too much money in circulation relative to the number of goods and services available for purchase, individuals will bid up the prices of those goods and services, leading to inflation. Conversely, if the money supply is reduced, prices will decrease.
While the Quantity Theory of Money has been subject to criticism and refinement over the years, it remains an important theoretical framework for understanding the relationship between money and prices in modern economies.
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Liquidity risk is a chance that an investment cannot be easily liquidated: True False
"Liquidity risk is a chance that an investment cannot be easily liquidated" is True. Liquidity risk refers to the possibility that an asset or investment cannot be easily sold or converted into cash without incurring a loss.
This means that if an investor needs to sell the investment quickly, they may have to accept a lower price than the original purchase price, or may not be able to sell it at all. This is why it is important for investors to consider liquidity risk when making investment decision. A financial risk known as liquidity risk states that for a specific amount of time, a particular financial asset, security, or commodity may not be exchanged in the market rapidly enough to avoid affecting the market price.
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Which type of market are you in if your company, along with three other companies, controls 95 percent of the total music industry? A. monopolistic competition B. perfect competition C. monopoly D. oligopoly
Answer: the answer to your question is D) oligopoly
Explanation:
Answer:
it's D. oligopoly
Explanation:
Oligopoly is a market structure where only a few large firms control a major share of the market.
An investment trust fund is used to report the net position available to the:
Sponsoring government only.
External participants only.
Financial institution that acts as custodian for the fund?s investments.
All of the above.
An investment trust fund is a type of fund that pools money from various investors to invest in a diversified portfolio of assets such as stocks, bonds, and real estate.
The primary purpose of an investment trust fund is to provide investors with a diversified investment vehicle that allows them to access a broader range of investment opportunities than they would have if they invested directly in individual securities. In terms of reporting, an investment trust fund is used to report the net position available to all parties involved, including the sponsoring government, external participants, and the financial institution that acts as the custodian for the fund's investments. The net position is calculated by subtracting the total liabilities from the total assets of the fund, and it represents the amount of money available to the fund's investors after all expenses and fees have been paid. Therefore, the correct answer to the question is "All of the above." An investment trust fund is designed to benefit all parties involved by providing a transparent, efficient, and cost-effective investment vehicle that meets the diverse needs of different investors. Whether you are a sponsoring government, an external participant, or a financial institution, an investment trust fund can help you achieve your investment objectives while minimizing your risk and maximizing your returns.
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Outline why it is important for a business owner to respond to technological and global issues when establishing a business?
Technology enables an increase in the efficiency of systems, products, and services. It helps track and streamline strategies, hold records go with the flow, and control contacts and employee records.
In reality, this expanded efficiency in operation enables lessened costs as well as allows the commercial enterprise to develop swiftly.
Technology has vital consequences on commercial enterprise operations. Irrespective of the scale of your business enterprise, technology has both tangible and intangible advantages that will help you make money and produce the results your customers demand. Technological infrastructure affects the subculture, performance, and relationships of a business.
The use of technology has made commercial enterprises and clients closer in many areas. E-mail and Social Media are getting used for answering queries related to products and services with clients. Giving customers all feasible methods to contact the agency is simple with the latest technology and packages over the internet.
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The amount of product available to the market is known as which of the following? Demand Interest Supply Resources
Answer:
Supply
Explanation: I had to the Economics Cencepts-Assessment ll for DECA today. I got all my answers off a quizlet...
Answer:
supply
Explanation:
If you withdraw money from a CD before its maturity date, you will face a financial penalty. True False
Answer:
True
Explanation:
Chan has opened a savings account at a bank near his house. He has been given the option of online access to all transactions from this new account. He now has to decide on a password to secure the online access to his bank account. Which password can Chan use for maximum security?
Prioritize password length: Secure passwords should have at least 16 characters in order to lessen the possibility of becoming a victim of a data leak or hack. So, for maximum security, Chan can use the password (C) 123456chanbankacc!.
What do we mean by password security?Put password length first: To reduce the likelihood of being a victim of a data breach or cyberattack, secure passwords should be at least 16 characters long.
Do not reuse passwords: Credential stuffing attacks, which are regularly exploited by hackers, put you in danger if you use the same password for many accounts.
The first line of security against unwanted access to your computer and personal information is provided by passwords.
Your computer will be more secure from hackers and bad malware if your password is strong.
Strong passwords should be used for every account on your computer.
Try to include both upper- and lowercase characters, numerals, and symbols.
The use of dictionary terminology should be avoided. Swimming1 is an example of a bad password.
Therefore, prioritize password length: Secure passwords should have at least 16 characters in order to lessen the possibility of becoming a victim of a data leak or hack. So, for maximum security, Chan can use the password (C) 123456chanbankacc!.
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Complete question:
Chan has opened a savings account at a bank near his house. He has been given the option of online access to all transactions from this new account. He now has to decide on a password to secure online access to his bank account. Which password can Chan use for maximum security?
A. chan123
B. chan1234
C. 123456chanbankacc!
D. 12345chan
What is a disadvantage of using a checking account instead of other types of
accounts?
A. You will likely not have federal protection for your money.
B. You will pay a fee if you make too many transactions.
C. You will generally not receive interest.
D. You will pay a penalty if you withdraw your money.
Answer:
you will generally not receive interest
Explanation:
took the quiz