If foreign countries are increasing their demand for U.S. financial assets, then we can expect the U.S. dollar to appreciate and the current account balance to increase, all other things being equal.
What happens when foreign countries increase their demand for U.S. financial assets?When foreign countries increase their demand for U.S. financial assets, the demand for U.S. dollars rises. Therefore, the value of the dollar rises or appreciates. This implies that the dollar will be more expensive in relation to foreign currencies.
Furthermore, a rise in foreign demand for U.S. financial assets results in a net inflow of capital into the United States. Therefore, the nation's current account balance rises. The rising demand for U.S. financial assets is fueled by the nation's solid economic growth, high-interest rates, and a sound economic policy framework.
Furthermore, when foreign countries purchase U.S. financial assets such as bonds, stocks, and other securities, the United States benefits. This is because the nation earns a significant amount of foreign exchange, which is used to buy foreign goods and services.
The U.S. dollar's value will rise or appreciate when the demand for U.S. financial assets increases.
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What type of plan should be in place in the event an employee or leader needs to be replaced?.
An emergency succession plan should be in place in the event an employee or leader needs to be replaced.
An emergency succession plan is installed in place when a key leader wishes to be replaced unexpectedly. a long-term succession plan, however, allows the enterprise to account for expected adjustments in management.
Alternative planning is the method of identifying brief-term and lengthy-term emergency backups to fill crucial positions or to take the area of important people. quick-time period replacement making plans makes a specialty of finding backups at the same time as an important character is out for a brief time, which includes on an excursion or out unwell.
The reason for succession making plans is to ensure a business enterprise usually has the right leaders in location have to an alternate take place fast. by using failing to create an orderly plan for succession, your corporation won't get a 2nd risk if it doesn't adapt right now after a key participant leaves the corporation or passes away.
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The difference between the standard cost of a product and its actual cost is called a variance.
a. true
b. false
The difference between the standard cost of a product and its actual cost is called a cost variance. Therefore the statement is true.
What is the objective of variance?Changing across all of the pieces of information in a data set, variance is a measurement of distribution. It enables us to estimate how far away a set of factors are from each other.
To describe the variation or difference between the standard cost of a product and its actual cost the use of cost variance is done. It is utilized to estimate the financial performance of any project.
Therefore, the statement is True.
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Cain Company reports net cash provided by operating activities of $35,000. It also reports the following information under “Adjustments to reconcile net income to net cash provided by operating activities” on its statement of cash flows (using the indirect method).
It can be seen from the solutions given that Cain's net income is $24,000.
Here is the solution:Net income = Net cash provided by operating activities - Adjustments
= $35,000 - $6,000 - $10,000 + $4,000 + $7,000 + $4,000
= $24,000
Therefore, Cain's net income is $24,000.
Here is a breakdown of the adjustments:
To determine cash flow from operations, it is necessary to include the gain on equipment sales in the net income as it is a non-cash entry.
A rise in accounts receivable implies that customers are prolonging payment of their invoices, resulting in decreased cash flow from the company's activities.
The depreciation expense is classified as a non-cash expense, hence it must be included in the calculation of cash from operations by adding it back to the net income.
A decrease in inventory indicates that the company is experiencing faster turnover of its inventory, leading to increased cash flow generated by its operations.
A rise in prepaid expenses denotes that the company is channeling more funds towards prepaid expenditures like insurance and rent, implying a reduced cash inflow from its operational activities.
A decline in the amount of wages that the company owes indicates that it is not promptly compensating its workforce. Consequently, this implies that the company's operational cash flow is reduced.
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In the context of an economy with two firms and two consumers, where both firms are polluters, what is the marginal savings function (ms) for firm one as a function of the level of emissions (e)?
In an economy with two firms and two consumers where both firms are polluters, the marginal savings function (ms) for firm one as a function of the level of emissions (e) represents the additional savings that firm one can generate by reducing its emissions by one unit.
The marginal savings function will depend on the marginal cost of reducing emissions, which will vary depending on the technology and production process used by the firm.
If we assume that firm one has a higher marginal cost of reducing emissions than firm two, then its marginal savings function will be steeper than that of firm two. This means that firm one will have to incur a higher cost to reduce emissions by one unit, and therefore the marginal savings will be higher for each additional unit of emissions reduction.
To calculate the marginal savings function for firm one, we can use the following formula:
ms(e) = TC(e) - TC(e-1)
Where TC is the total cost of production, which includes the cost of emissions reduction. As firm one reduces its emissions, its total cost will decrease, and the marginal savings will increase.
In summary, the marginal savings function for firm one in an economy with two firms and two consumers where both firms are polluters will depend on the marginal cost of emissions reduction and will be steeper than that of firm two if its marginal cost is higher.
Hi! In the context of an economy with two firms and two consumers, where both firms are polluters, the marginal savings function (MS) for Firm 1 as a function of the level of emissions (e) can be represented as MS₁(e₁). This function shows the additional savings Firm 1 achieves by emitting an additional unit of pollution, taking into account the impact on the environment and the costs associated with pollution control. The specific form of the MS₁(e₁) function will depend on the characteristics of the firm and the production technology it employs.
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What is the new current rule that start may 1st dealing with people purchasing a home? Do you think it is fair?
Under new guidelines from the Government Lodging Money Organization (FHFA) set to produce results on May 1, borrowers with lower FICO scores and less cash for an initial investment will meet all requirements for preferable home loan rates over them, in any case, would have, while those with higher evaluations will pay expanded expenses.
According to the government, When applying for a home loan, it's a good idea to put down 15% to 20% of the price of an expensive asset like a house. The remaining loan balance can be paid off over time through EMIs or equated monthly installments.
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100 points! PLEASE HELP. DO NOT SKIP THIS!
PLEASE DON'T DO FUNNY BUSINESS HERE.
You are now familiar with government and how it plays a role in our economy. Using what you learned in the lesson, describe two advantages and two disadvantages of governmental involvement. What changes would you make to improve government’s role?
You can say answers other than-
there are more restrictions
Answer:
There are many advantages of government intervention such as even income distribution, no social injustice, secured public goods and services, property rights and welfare opportunities for those who cannot afford. Whereas, according to some economists the government intervention may also result in few disadvantages.
I would try to remove corruption
Explanation:
Plz mark brainliest thanks
Answer:
(Disadvantages)
Government and political interference may lead to poor management.
-Operation in large scale may lead to diseconomies of scale arise.
(Advantages)
-Protecting the safety and health of the public and the environment.
-Offering consumers increased safety when choosing products.
Explanation:
Stop trying to legislate morality. Where we get tripped up is in the conversation about "beliefs". We have been stuck in fights that keep our country in a holding pattern. It is not only detrimental to our unity, it undermines our ability to concentrate on areas that need it.?
Kowabunga was a US based beach clothing and gear company. The owner of the company wanted to expand into markets in Mexico, Australia and Fiji. The company compared the emerging markets to see which had the highest growth rates. Which external business environment did the company evaluate for its expansion?
Based on the given details the external business factor environment that did the company evaluate for its expansion is sociocultural.
Socio-cultural as a business external factor has to do with the environment culture or customs and belief as well as the type of fashion trend they have in vogue.
For a clothing company to be successful the consumer, their income level or wealth, growth rate and the environment at large has to be put into consideration.
The company has to as well evaluate the market activities of the country as this can help to influence their decision when trying to expand into another country market as well as their strategic goals when introducing their product into an another country.
Inconclusion the external business factor environment that did the company evaluate for its expansion is sociocultural.
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What are the top two reasons for adopting Agile in an organization? (Choose two)
A. Increase predictability by reducing changes
B. Reduce project cost
C. Accelerate product delivery
D Reduce risk by centralizing decision making
E. Enhance ability to manage changing priorities
The correct option is C and E, Accelerate product delivery and Enhance ability to manage changing priorities are the top two reasons for adopting Agile in an organization.
Organization refers to the systematic arrangement of individuals, resources, and activities to achieve a common goal or objective. It involves planning, coordinating, and managing people and resources in a structured manner to optimize productivity and efficiency. The primary purpose of organization is to create a formal framework that enables individuals to work together effectively towards a common objective.
An organization can be a small or large entity, such as a business, non-profit organization, government agency, or even a school. Regardless of the type of organization, it is essential to have clear goals and objectives, as well as a well-defined structure with a hierarchy of roles and responsibilities. Communication is also key, as individuals within the organization must be able to effectively share information and coordinate their activities to achieve their objectives.
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The amount of additional aggregate demand needed to achieve full employment after allowing for price level changes is.
The amount of additional aggregate demand needed to achieve full employment after allowing for price level changes is AD shortfall.
What will cause AD to shift?An increase in any of the aggregate demand components - consumption spending, capital spending, public spending, and net exports (X-M) - shifts the aggregate demand curve to the right, while a decrease in any of these components shifts the aggregate demand curve to the left. A shift from AD to AD1 indicates that aggregate demand has increased.
The amount of additional aggregate demand required to achieve full employment after adjusting for price level changes is referred to as the AD shortfall.
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Gross domestic product is calculated by summing up
A) the total quantity of goods and services in the economy.
B) the total quantity of goods and services produced in the economy during a per
C) the total market value of goods and services in the economy.
D) the total market value of final goods and services produced in the economy
Gross domestic product is calculated by summing up (D ) the total market value of final goods and services produced in the economy.
GDP is the all-out amount of market worth of all items created by an association inside a country within a given time limit. it is utilized as a marker that shows the country's abundance condition within a determined time limit. assuming the Gross domestic product of any nation is looking great that means the nation is creating great pay from all areas of assembling merchandise.
Gross domestic product means "GDP" and addresses the all-out financial worth of every single last great and administration created (and sold available) inside a country during a timeframe (regularly 1 year).
Hence option (D) is correct.
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esearch on transformational and transactional leadership shows a. transactional leadership is more effective than transformational leadership. b. transactional leaders have little to no influence on employee attitudes. c. transformational leaders create higher levels of commitment to organizational change efforts. d. transactional leaders increase the intrinsic motivation of their followers.
Based on various study analyses, the research on transformational and transactional leadership shows that "transformational leaders create higher levels of commitment to organizational change efforts."
This is because transformational leaders are the type of leaders that encourage and motivate their followers to make effective changes.
On the other hand, transactional leaders are types of leaders that mainly promote changes that favor their self-interest.
Hence, in this case, it is concluded that the correct answer is option C. "transformational leaders create higher levels of commitment to organizational change efforts."
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on february 1, arshak's investment account has a balance of $19,900. he deposited $1,200 on april 1 and $2,600 on may 1. he withdrew $8,400 on july 1. on november 1, arshak's balance was $14,990. find arshak's dollar-weighted annual yield for this nine-month period. (round your answer to two decimal places.)
A dollar weighted yield for 9 year month period is -0.027
Investment on February is $19800
Deposit on April 1 is $1200
Deposit on May 1 is $2600
Withdrawal on July 1 is $8400
balance on November 1 is 14900
The initial investment is $19800
For first 2 months
(9-2)/2 x 1200 = 7/9 x 1200
933.33
For next 3 months
(9-3)/9(1200) = 6/9 x 1200
=800
Therefore the total dollar weighted annual yield is
Total interest/Total investment
14900-(19800+1200+2600-8400)/19800+933.33+800
= -0.027
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The expected return for Stock Z is 30 percent. If we know the following information about Stock Z:
Return Probability
Poor 0.2 0.25
Lukewarm ? 0.5
Dynamite! 0.4 0.25
What return will stock Z produce in the Lukewarm state of the world?
The return for Stock Z in the Lukewarm state of the world is 30 percent.
To find the expected return?To find the expected return for the Lukewarm state of the wrld, we need to use the probabilities provided and the overall expected return for Stock Z (which is 30 percent).
Let's call the return for the Lukewarm state "X". We know that the probability of Stock Z having a Poor return is 0.2, and the probability of having a Dynamite return is 0.4. So the probability of having a Lukewarm return must be 0.5 (since the sum of all probabilities must equal 1).
Using this information, we can set up the following equation:
0.2(0.25) + 0.5(X) + 0.4(0.25)
= 0.3
Simplifying, we get:
0.05 + 0.5X + 0.1
= 0.3
0.5X = 0.15
X = 0.3
Therefore, the return for Stock Z in the Lukewarm state of the world is 30 percent.
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what is stakeholders
Answer:
A stakeholder is a party that has an interest in a company and can either affect or be affected by the business.
Hope this helped you!
Explanation:
Bonds are essentially...
A. illegal except for those issued by public utility companies.
B. either common or preferred types of bonds.
C. designed to help prevent trusts.
D. loans to a corporation.
Answer:
Its D pretty sure
Explanation:
the preferred stock of dolphin pools pays an annual dividend of $5.20 a share and sells for $48 a share. the tax rate is 21 percent. what is the firm's cost of preferred stock? group of answer choices 15.59% 10.94% 16.47% 9.67% 10.83%
The tax rate is 21 percent. The firm's cost of preferred stock is 10.83%.
The cost of preferred stock is the dividend paid on the preferred stock divided by the net proceeds from the sale of the preferred stock. The net proceeds are the sale price of the preferred stock less any flotation costs.
Annual dividend = $5.20 per share
Sale price = $48 per share
Tax rate = 21%
Flotation costs are not given in the problem, so it is assumed that there are no flotation costs. Therefore, the net proceeds from the sale of preferred stock will be equal to the sale price.
Rp = $5.20/$48 = .1083, or 10.83 percent
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State one financial objective for LEGO.
3 Marker
Answer: Building, un-building, rebuilding, thereby creating new things and developing new ways of thinking about ourselves, and the world.
Explanation: looked at Lego. com.
I hope it’s right, sorry if it’s not. Best of luck :)
A product’s value depends both on its utility and its scarcity.
True or false
Answer:
true
Explanation:
Celestial Insurance hires college graduates and prepares them for management careers. The human resource professionals who prepare the programs that teach leadership and business management to these employees are involved in which HR function?
Answer:
Development
Explanation: A P E X
The human resources profession are involve in development function of the employees.
The Human resources personnel is saddled with responsibility of overseeing process of recruitment, interview, and hire of new staff.
In every company, the Human resources personnel serves as a link between the management and its employees.
After the recruitment process of hiring an applicant, the HR Personnel also provide them with lectures on Leadership and Business management which will help them in their career development.
Therefore, in conclusion, the role performed by the HR personnel is known as Development function in the company.
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Adrian invested $5,000 at 5.84% compounded semi-annually.
a. calculate the accumulated value of the investment at the end of 3 years
b. Calculate the amount of interest earned during the 3 year period.
A. The accumulated value of the investment at the end of 3 years is approximately $5,960.20.
B. The amount of interest earned during the 3-year period is approximately $960.20.
To calculate the accumulated value of the investment at the end of 3 years, we can use the formula for compound interest:
A = P(1 + r/n)^(nt)
Where:
A = Accumulated value
P = Principal amount (initial investment)
r = Annual interest rate (in decimal form)
n = Number of compounding periods per year
t = Number of years
a. In this case, the principal amount is $5,000, the annual interest rate is 5.84% (or 0.0584 as a decimal), compounding is done semi-annually (n = 2), and the investment is held for 3 years.
A = $5,000(1 + 0.0584/2)^(2*3)
A ≈ $5,000(1.0292)^6
A ≈ $5,000(1.19204)
A ≈ $5,960.20
Therefore, the accumulated value of the investment at the end of 3 years is approximately $5,960.20.
b. To calculate the amount of interest earned during the 3-year period, we can subtract the principal amount from the accumulated value:
Interest Earned = Accumulated Value - Principal Amount
Interest Earned = $5,960.20 - $5,000
Interest Earned ≈ $960.20
Therefore, the amount of interest earned during the 3-year period is approximately $960.20.
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The payback period np is an estimated time for the revenues, savings, and any other monetary benefits to completely recover the initial investment plus a stated rate of return i. True/False
The given statement "The payback period np is an estimated time for the revenues, savings, and any other monetary benefits to completely recover the initial investment plus a stated rate of return." is false because the payback period is a financial metric used to evaluate the time it takes to recover the initial investment in a project or investment.
It is commonly used to assess the liquidity and risk of an investment. The payback period does not take into account any stated rate of return (i) or incorporate the time value of money.In the payback period calculation, the focus is on the length of time required for the project's cash inflows (revenues, savings, etc.) to equal or surpass the initial investment. It is a simple measure that indicates how long it takes to recoup the initial cost without considering the profitability or return on investment.
To incorporate the rate of return or consider the time value of money, more sophisticated metrics such as the net present value (NPV) or internal rate of return (IRR) are used. These metrics factor in the timing and value of cash flows, providing a more comprehensive analysis of the investment's profitability and return.
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The entity that promises to make the interest and maturity payments for a bond issue is called the:.
The entity that pledges to make the interest and maturity payment for bond issues is called the issuer.
Who is a Bond issuer?
A bond is a completely fixed instrument that reflects an investor's debt to a borrower.
Bonds terms and conditions include the end date when the capital of the loan is scheduled to be paid to the bond owner with a fixed or variable interest payment.
Bond Issuers are businesses or entities that generate and take loans from people who buy bonds in exchange for periodic interest and repayment of the principal amount when the bonds mature.
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In 2010, Georgia went from 13 to 14 representatives. Find the percent of increase in the number of representatives.
Answer:
Percent change in number of representative = 7.7 % (approx.)
Explanation:
Given:
Number of old representatives = 13
Number of new representatives = 14
Find:
Percent change in number of representative
Computation:
Percent change in number of representative = [Number of new representatives-Number of old representatives]Number of old representatives
Percent change in number of representative = [14-13]/13
Percent change in number of representative = 7.6923
Percent change in number of representative = 7.7 % (approx.)
the following panel describes two different short-run aggregate supply curves. in which situation is the case for nonactivist policy stronger? explain why.
The case for nonactivist policy is stronger in the situation where the short-run aggregate supply curve is more vertical, which means that changes in aggregate demand have a smaller impact on output and prices.
Nonactivist policy refers to the idea that the government should not interfere in the economy and should let market forces determine output and prices. In the case where the short-run aggregate supply curve is more vertical, the economy is less responsive to changes in aggregate demand, which means that government intervention is less effective in stimulating economic growth or stabilizing prices. Therefore, the case for nonactivist policy is stronger in this situation, as the government's attempts to intervene may not have a significant impact on the economy and may even be counterproductive. On the other hand, if the short-run aggregate supply curve is more horizontal, the economy is more responsive to changes in aggregate demand, which means that government intervention may be more effective in achieving its objectives.
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Proudhon and other economists argued that laissez-faire meant freedom for the capitalists but bondage for workers. Smith, say, and other advocates of laissez-faire argued that unregulated capitalism meant freedom for all. Are there circumstances under which proudhon's view is likely to be more accurate? are there circumstances when smith's view is likely to be more apt? explain
Capitalism is frequently thought of as an economic system in which private actors own and control property in accordance with their interests, and demand .The desire to make a profit is a fundamental feature of capitalism.
Capitalism is based on individual initiative and prefers market mechanisms over government intervention, whereas socialism is based on government planning and limits on property resource control. When left to their own devices, economies tend to mix elements of both systems. Despite its flaws, free market capitalism has been a tremendously powerful force for good in the world. Millions of people have been lifted out of poverty as a result of the combination of liberal democracy and free market economics.
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Tony negotiated for a cost-of-living adjustment (COLA) in his wage contract. Suppose the inflation rate is predicted to be 5% . This means Tony's nominal wage will go up by _________.
Tony negotiated for a cost-of-living adjustment (COLA) in his wage contract. Suppose the inflation rate is predicted to be 5%. This means Tony's nominal wage will go up by 5%.
In economics, inflation is the increase in prices of goods and services over time. It implies a rise in the price level of a basket of goods and services consumed by households. The cost of living adjustment (COLA) adjusts a wage according to the cost of living in the economy. If the inflation rate is predicted to be 5%, it implies that there will be a 5% increase in the general price level.Under a cost-of-living adjustment (COLA) agreement, an individual's nominal wage is adjusted for inflation so that his or her actual purchasing power remains constant over time. In this case, Tony's nominal wage will go up by 5% to account for the predicted 5% inflation rate.The COLA adjustment is usually based on the Consumer Price Index (CPI) for Urban Wage Earners and Clerical Workers (CPI-W), which measures the cost of a fixed basket of goods and services bought by households. Hence, it is essential to consider inflation and its impact on wages while negotiating a wage contract.
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what best describes the role of government in a free enterprise system?
Answer:
Allow individuals to operate their businesses in ways they think will maximize their profits.
Explanation:
in the expanded strategic npv there is a tradeoff between the flexibility value to wait-and-see option value versus the value of early commitment. when is committing to a strategy most likely to be valuable? 1 point when uncertainty is high when there exists an opportunity to realize better payoffs by influencing the strategy of your rival when there are second-mover advantages when investment is reversible
Committing to a strategy is most likely to be valuable when there exists an opportunity to realize better payoffs by influencing the strategy of your rival. So, correct option is B.
This is because in such a scenario, early commitment can help a firm gain a first-mover advantage and preempt its rivals from pursuing similar strategies, leading to higher payoffs in the long run.
By committing early, a firm can create barriers to entry and limit the options available to its rivals, thereby increasing its bargaining power and reducing competitive pressures.
In contrast, when uncertainty is high, it may be more valuable to wait-and-see before committing to a strategy. This is because there is a greater likelihood of unexpected events and changes in the market, and waiting can provide more information and flexibility to adapt to these changes.
Similarly, when there are second-mover advantages, it may be beneficial to delay commitment in order to learn from the mistakes of early movers and refine the strategy accordingly.
Overall, the value of early commitment depends on the specific circumstances and competitive dynamics of the market, and firms must carefully consider the tradeoffs between flexibility and commitment when making strategic decisions.
So, correct option is B.
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who is ymca's target market?
who are ymca's end-users?
who are ymca's donors?
YMCA's target market is women.
YMCA's end-users are people of all ages.
YMCA's donors can be anyone.
A global youth organization with over 64 million beneficiaries in 120 countries, the YMCA (also referred to as the Y in certain regions) is headquartered in Geneva, Switzerland.
The Y not only offers fitness facilities to strengthen your body and mind, but it also gives you peace of mind by offering the best childcare available. The growth and development of your child's mental, physical, and emotional well-being can be significantly influenced by the correct childcare programs.
In 1844, a farmer-turned-department store employee and his pals met in industrial London to form the first YMCA, a haven for young men seeking safety from the dangers of the streets.
Yes, we are aware that the YMCA audience consists primarily of women between the ages of 35 and 55 who enjoy visiting the shore and who are interested in SUVs (example of X YMCA).
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disadvantages of creative thinking in a workplace
Answer:
This article will dive into what creative thinking is, types of creative thinking, and the benefits of thinking creatively in the workplace. As it happens, it is not the experience of failure that holds you back. There are six major obstacles to creative thinking that could be preventing you from learning how to improve your problem solving skills for business success. Creative thinking and creative thinkers are needed in those situations because it pushes out of that linear way of thinking. To think creatively, set aside any assumptions or biases you may have, and look at things in a completely new way. You don't have to be an artist for your work to have an artistic element. In homeostasis, there seems to be an irresistible unconscious pressure that brings you back to doing what you have always done. This requires the ability to examine things carefully to know what they mean. Thinking The following transcript is based on material in Skills for Success: The Personal Development Handbook, by Stella Cottrell. asked Feb 22, 2018 in Grade 12 by Admin Master (890k points) grade-12; ... discuss the disadvantages of creative thinking. Advantages Of Creative Thinking. Being rational means that we continually use our minds to explain the world to ourselves, so we can understand it better and feel more secure. Here are some of the types of creative thinking you might see in the workplace.