Jaime's power in the company is greater than his formal position based on expert power. His expertise in programming the robots needed for the production of a key part allows him to influence decisions and be recognized as an authority in the field, making him a valuable asset to the company.
Expert power is a type of power that is derived from an individual's knowledge, skills, or expertise in a particular area. In this case, Jaime's ability to program the robots needed for the production of a key part makes him indispensable to the company.
By having specialized knowledge and skills in programming the robots, Jaime becomes a valuable asset to the company. His expertise gives him the power to influence decisions and be recognized as an authority in the field. Even though his formal position may not be at the top of the hierarchy, his expert power allows him to have a significant impact on the company's operations.
For example, Jaime's ability to program the robots efficiently and effectively can contribute to increased productivity, reduced errors, and improved quality control in the production process. As a result, he becomes an essential resource for the company's success, and his opinions and recommendations carry weight within the organization.
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A car has a base price of $23,800.00. Options cost $356.00, $785.00, and $900.00 for stereo, wheels and paint. Destination charges are $640.00. The dealer pays 82% of the base price and 75% of the options. Determine the sticker price.
$25,000.00
$23,800.00
$26,481.00
$25,841.00
The sticker price of the car is $26,481.00 based on the component costs provided
What is the sticker price of the car?
The sticker price of the car comprises the retail price, the cost of options as well as the destination charges, which is also referred to as the cost for economy mileage, bearing in mind that sticker price is the price of car written on a sticker and affixed to a car.
The sticker price=base price+cost of stereo+cost of wheels+cost of paint+destination charges
base price= $23,800.00
cost of stereo=$356.00
cost of wheels=$785.00
cost of paint=$900.00
destination charges=$640
sticker price=$23,800.00+$356.0+$785.00+$900+$640.00
sticker price=$ 26,481.00
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Suppose that Carla Vista issued a five-year interest-bearing note payable for $345000 on January 1,2024 . Each January the company is required to pay $69000 on the note. How will this note be reported on the December 31,2025 balance sheet? Long-term debt, $276000 Long-term debt, $207000; Long-term Debt due within one year, $69000 Long-term debt of $276000; Long-term Debt due within one year, $69000 Long-term debt, $345000
On the December 31, 2025 balance sheet, Carla Vista will report the note as Long-term debt of $276,000 and Long-term Debt due within one year of $69,000. This classification reflects the portion of the note that is payable beyond one year and the portion that is due within one year.
The note payable was issued on January 1, 2024, for $345,000 with a term of five years. Each January, Carla Vista is required to pay $69,000 on the note. Since the note was issued on January 1, 2024, and the balance sheet date is December 31, 2025, there will be two remaining payments due within one year. The long-term debt portion on the balance sheet will include the remaining principal balance of the note that is payable beyond one year, which is $276,000 ($345,000 - $69,000 - $69,000). This represents the amount that is not due within the next year.
Additionally, the long-term debt due within one year will include the two remaining payments of $69,000 each, totaling $69,000. This reflects the portion of the note that is due within the next year. Therefore, the correct reporting of the note on the December 31, 2025 balance sheet would be as follows: Long-term debt of $276,000 and Long-term Debt due within one year of $69,000.
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How was Egypt affected by British imperialism?
After winning, Britain created a "veiled protectorate" over Ottoman-Egypt up to the First World War, restoring the Khedival rule in Cairo. In order to promote Egypt's cotton output and exports, the British occupation saw a surge in archaeological fieldwork, tourism, and irrigation projects.
Egypt became a protectorate of the British Empire, which meant that even while Egypt had its own government, the British continued to have significant influence over it. As a result, the British saw Egypt as being under their "protection" and led the African country in ways that suited them.
When the British invaded Egypt in 1882, they did not annex the country; instead, a nominally independent Egyptian government carried on. But the European countries, whose influence had increased, had already colonized the nation.
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The Garcias are buying a house for $300,000. They put down $30,000 on the
day of the purchase and got a 30-year mortgage at 3.5 percent to pay off the
remaining $270,000. In this scenario, the $30,000 is the
• A. loan term.
•
B. down payment
•
C. interest rate
•
D. principal
The $30,000 in this scenario is the down payment. Therefore option B is the correct answer
the Garcias are buying a house for $300,000 they put down $30,000 on the day of the purchase.
This means that the $30,000 is the down payment which is a portion of the total cost of the house that's paid outspoken, while the remaining quantum is financed through a mortgage.
The mortgage in this case is a 30- time term with a 3.5 percent interest rate, which is the quantum charged by the lender for embracing the remaining $270,000
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If you were to look at the CPI calculations based from 1984-1986, what of the following goods would likely be left out of that CPI calculation?
2. eggs
3.transmission fluid
4. televisions
5. smart phones
If you somehow happened to take a gander at the CPI computations based from 1984-1986 , smart phones would probably be avoided with regard to that CPI estimation. Option 5 is correct.
Smartphones have only recently been used in the 21st century, so it is unlikely that they were popular in the 1980 s.The Consumer Price Index (CPI), which measures the percentage change in the price of a basket of goods and services used by households, is the most well-known indicator of inflation.
A quantity-weighted average of the current month's index divided by the index value during the index base period is used to calculate the aggregate index for any given month. The ratio of the long-term monthly indexes is then used to calculate the monthly price change.
The Consumer Price Index (CPI) is a widely used indicator of economic inflation. A nation's citizens' standard of living falls as a result of rising inflation. It will lead to an increase in the price of living over time.
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Random variations represent either increasing or decreasing movements over many years due to factors such as population growth, population shifts, cultural changes and income shifts.
Answer:
FALSE
Explanation:
THIS IS THE COMPLETE QUESTION
Trends representing either increasing or decreasing movements over many years due to factors such as population growth, population shifts, cultural changes, and income shifts are a component of a time series called "Random Variations"
Random Variation can be regarded as
tendency of an estimated size/ value of a parameter to undergo deviation randomly away from the real/ true magnitude/ value of the parameter.
Consider the following: Farmer Smith bought seed and fertilizer for $100. He grew wheat that he sold to the Wander Bread Company for $200. Wander Bread produced and sold bread to the Wilseyville Grocery Store for $250. Consumers bought the bread from the grocery for $350. How much was added to the GDP
As per the given case, the amount that is added to GDP is $350.
What do you mean by GDP?GDP refers to the measure of all final goods and services that have been bought by the final user produced in the country.
As per the given case, Farmer smith bought seed and fertilizer for $100. He grew wheat that he sold to the wander bread company. Consumers bought the bread from the grocery for $350. Therefore, it was added to the GDP.
So, $350 was added to the GDP.
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If 10-year t-bonds have a yield of 6. 2%, 10-year corporate bonds yield 8. 5%, the maturity risk premium on all 10-year bonds is 1. 3%, and corporate bonds have a 0. 4% liquidity premium versus a zero liquidity premium for t-bonds, what is the default risk premium on the corporate bond?.
The default risk premium on corporate bonds is 1.90%.
The default risk premium is the additional amount of the interest rate paid by the borrower to the lender/investor as compensation for the borrower's higher credit risk assuming his failure to repay the principal amount in the future and can be mathematically explained as the difference between the interest rates. interest paid on bonds and a risk-free rate of return.
The default risk premium (DRP) serves as a compensatory payment to the investor or lender if, in any case, the borrower defaults on his debt. DRP generally applies to bonds. Any lender will charge a higher premium if there is a possibility that the borrower will default on its debt payments, i.e., default on recurring interest payments or principal amounts according to agreed terms and conditions. This acts as an incentive for the lender as he gets more rewarded for the risk taken.
Default risk premium formula = Interest rate - risk free rate
Default risk premium = 8,5%-(0,4%+6,2%)
Default risk premium = 1,9%
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Britain is becoming more of an entrepreneurial country as the number of new
businesses continues to grow. In 2019 there were 5.8 million small businesses.
This was an increase of 3.5% from 2018.
How many small businesses set up in 2019?
SELECT ANSWER
20,300
5.6 million
203,000
1.66 million
Answer:
5.6 million
Explanation:
As previously mentioned, at the start of 2019 there were 5.9 million businesses in the UK, up from 5.6 million the previous year.
An important part of design thinking is building a game with the customer in mind. What can help with this?
An important part of design thinking is building a game with the customer in mind this can help with User testing.
What is User testing in design?A UserTesting contributor, often known as a website tester, performs activities on a website, app, or prototype while speaking out their observations.
There are two types of tests that can be taken as a contributor. One is referred to as Live Dialogue and involves a real-time interview with a UserTesting client. A consumer will ask you in a casual conversation during a videoconference meeting what you think about their goods or experiences. The other is a self-paced, recorded test that can be taken on the phone or computer at onesown pace.
Therefore, option A is correct.
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missing options:
User testing
Stress Testing
Regression testing
Sound mixing.
Firms that implement a strategy of _____ operate multiple businesses that are not logically associated with one another.
a. unrelated diversification
b. nondiversification
c. single-business unit
d. synergy
e. entropy
Firms that implement a strategy of unrelated diversification operate multiple businesses that are not logically associated with one another. Option A is correct answer.
Unrelated diversification. Firms that implement a strategy of unrelated diversification operate multiple businesses that are not logically associated with one another. Unrelated diversification is a corporate-level strategy in which a company operates in several different industries that are not related to one another. The corporation is still in the position of owning all of its assets and resources while operating in various sectors. An unrelated diversification strategy is used by businesses to expand their income stream by investing in unrelated markets or businesses. An example is a company that produces both coffee and bicycles.
Option A is correct answer.
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The idea that some basic businesses such as steel mills, coal mines and utilities, should be owned and controlled by the government is indicative of a
People often set up business for themselves. The idea that some basic businesses such as steel mills, coal mines and utilities, should be owned and controlled by the government is indicative of socialism.
What is socialismThis is known as an economic system that is based on the foundation that some, if not all, simple or basic businesses e.g. steel mills, coat mines, and utilities should be the property of the government.
They believed that the profits from these business can be said to be evenly distrusted among the people but when they are in the hands of the government, it can be well used.
Brain Drain
The loss of the best and bright
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When making decisions, managers often must decide between doing what is beneficial for the firm in the short term, and what is beneficial for both the firm and society in the long term. To address this conflict, a firm must
When making decisions, managers are often faced with a conflict between what is beneficial for the firm in the short-term and what is beneficial for both the firm and society in the long-term.
This conflict arises because the actions that benefit the firm in the short-term may not necessarily align with the interests of society as a whole, which can lead to negative consequences for both the company and society in the long-term.
To address this conflict, a firm must adopt a long-term orientation and consider the broader social and environmental impacts of its decisions. This means looking beyond immediate financial gains and recognizing that actions taken today can have far-reaching implications for the company's reputation, customer loyalty, employee morale, and overall sustainability.
Firms that prioritize social responsibility and sustainable business practices are more likely to build strong relationships with stakeholders, including customers, employees, investors, and regulators. They are also better equipped to weather economic downturns and other disruptions, as they have diversified their risk and invested in building resilient supply chains and communities.
Ultimately, the key to addressing the conflict between short-term gains and long-term benefits is a commitment to corporate social responsibility (CSR) and sustainable business practices. By prioritizing the needs of society and the environment alongside those of shareholders, firms can create value for all stakeholders over the long-term, ensuring their continued success and impact.
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Assume the nominal interest rate on a 15-year fixed-rate mortgage loan is 5 percent. If the expected inflation rate is 2 percent, the expected real interest rate is
If the expected inflation rate is 2 percent, the expected real interest rate is 3%.
Expected real interest rateUsing this formula
Expected real interest rate=Nominal interest rate-Expected inflation rate
Where:
Nominal interest rate=5%
Expected inflation rate=2%
Let plug in the formula
Expected real interest rate=5%-2%
Expected real interest rate=3%
Inconclusion if the expected inflation rate is 2 percent, the expected real interest rate is 3%.
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Bernie works for quickwell lending and accesses several lenders to find a loan product that works best for his clients. what is bernie?
Bernie is a mortgage broker who accesses several lenders to find a loan product that works best for his clients.
A mortgage broker is a person who acts as an intermediary between the person who offers the loans and someone who wants to buy real estate. so they help their clients to obtain the best rate of interest on their loans. In this way, the client will be able to obtain the best terms and rates to meet their financial needs.
A mortgage broker can help us find the right mortgage. This helps the client in saving time, money, and effort. A mortgage broker may have better and more access to lenders than we have. The only factor to be kept in mind is the charges that these mortgage brokers may take from us.
So a mortgage broker is a link between financial institutions and individuals. The mortgage broker works with both to get the amount of loan sanctioned and at the best rates. They also verify all the paperwork necessary for obtaining the loan. So as Bernie works for finding a loan that is the best for the client he is a mortgage broker.
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Chrissy is working on creating extensive demand and awareness for the brand of lipsticks. At which stage of the product life cycle is her brand?
Answer:
Introduction Stage
Explanation:
The product life cycle consists of five stages: development, introduction, growth, maturity, and decline.
In this case, Chrissy's product (the lipsticks) is at the introduction stage, which is second stage of the life cycle, coming immediatly after the development stage ends.
In the introduction stage, as the name implies, the product is introduced in the market. Advertising and marketing efforts are crucial at this stage because otherwise the product may be rejected, or simply not known enough, and not reach the growth stage.
Navel County Choppers, Inc., is experiencing rapid growth. The company expects dividends to grow at 19 percent per year for the next 8 years before leveling off at 5 percent into perpetuity. The required return on the company’s stock is 10 percent. If the dividend per share just paid was $1.52, what is the stock price?
Answer:
Price of stock = $74.636
Explanation:
The Dividend Valuation Model is a technique used to value the worth of an asset. According to this model, the worth of an asset is the sum of the present values of its future cash flows discounted at the required rate of return.
The price of the stock will the sum of the present value of the growing annuity and the growing perpetuity
Present value of dividend from year 1 to 8
The PV of the growing annuity = A/r-g) ( 1- (1+g)/(1+r)^n )
A- dividend payable now , r- required of return, g-growth rate, number of years
PV = 1.52×(1.19)/(0.1-0.19) × (1 -(1.19/1.1)^8)= 17.605
PV of Dividend from year 9 and beyond:
P = D× g/(r-g)
This will be done in two steps:
Step 1: PV(in year 8)of dividend = (1.52× 1.19^8× 1.05)/(0.1-0.05)= 122.250
Step 2 : PV in year 0 = 122.25× 1.1^(-8)= 57.030
Price of stock = 17.60 + 57.030= 74.63
Price of stock = $74.636
Suppose you are the finance manager of a company. Which
method or methods of financing would you choose for your company
and why?
As a finance manager, one would choose a combination of debt and equity financing for my company. Debt financing offers the advantage of lower interest rates and tax benefits, while equity financing provides access to additional capital and reduces the company's debt burden.
In choosing the financing methods for my company, I would consider the specific needs and circumstances of the business. Debt financing involves borrowing funds from lenders or issuing bonds, which can provide immediate access to capital. This method offers the advantage of lower interest rates compared to equity financing, reducing the overall cost of capital. Additionally, the interest paid on debt is tax-deductible, providing tax benefits to the company.
On the other hand, equity financing involves selling ownership shares of the company to investors. This method can provide additional capital and financial flexibility, as equity investors share the risks and rewards of the business. Equity financing can also strengthen the company's balance sheet by reducing its debt burden and improving its creditworthiness.
By combining debt and equity financing, my company can benefit from the advantages of both methods. It allows us to optimize the capital structure, taking advantage of lower interest rates and tax benefits while also accessing additional capital and reducing financial risk. The specific mix of debt and equity financing will depend on factors such as the company's growth prospects, industry norms, and risk tolerance.
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Which type of worker would most likely be able to begin work after receiving a high school degree and completing an on-the-job apprenticeship?
Answer:
LiveStock
Explanation:
Answer:
A miner I think. If that is one of the choices you have on your test.
Explanation:
Good luck. Tell me if this is wrong.
Unrealized holding gains or losses which are recognized in income are from debt securities classified as
A. held-to-maturity.
B. available-for-sale.
C. trading.
D. none of these answers are correct.
Unrealized holding gains or losses which are recognized in income are from debt securities classified as trading.
What do you mean by the debt securities?A sort of debt that can be purchased and sold like a security is referred to as a debt security. They frequently have certain conditions, like the amount borrowed, the interest rate, the date of renewal, and the debt maturity.
The fair value of securities kept for trading is reported on the balance sheet, and the income statement includes the unrealized gains and losses.
For: long-term securities, unrealized holding gains or losses are recorded as other comprehensive income.
Therefore, Unrealized holding gains or losses which are recognized in income are from debt securities classified as trading.
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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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Along with the amount of financial aid, which is the most important to pay attention to when trying to determine financial aid costs in relation to your personal budget?
Prompt attention to the interest rates is important in determining financial aid costs.
What is Financial aid?This is the money which is usually given to students to help for school or other courses.
These aids usually come with an outlined interest rates which should be taken note of in order to determine financial aid costs in relation to the individual's personal budget.
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Answer:
the amount of money and hours you can earn through work-study?
Explanation:
The difference between a financial aid package and total cost of collage can be made up by ______.
A: reapplying with different family contributions
B: signing up for fewer classes a semester
C: personal savings and student loans
D: going to a college with lower tuition costs
The difference between a financial aid package and total cost of collage can be made up by personal savings and student loans.
Financial aid is referred to any form of funding which tends to help one in paying for for college, such as a loans, grant, scholarships or work-study programs. So, for most of the students, financial aid is essential to making college affordable.
It is estimated that about two thirds of college students receive financial aid based on their family's financial circumstances. So, here it is important that the difference between a financial aid package and total cost of collage can be made up by personal savings and student loans.
Hence, option C is correct.
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You see two students teasing a third student who you don't know well. Others are laughing and watching. How could you prevent this type of bullying from being seen as "normal?"
Answer:
You could go tell an adult or Teacher at school. Or if that's not possible try and help ig
Explanation:
The two students teasing a third student who you don't know well. Others are laughing and watching. All of the above, could you prevent this type of bullying from being seen as "normal. Thus, option (d) is correct.
What is student?
The term student refers to who are the recently studies of the career. The student is to go to the school and the college. The student is to complete the study as the forwarded to the next class. The student are the planning for the career. The student is the main motive to the studies and the sports.
If anyone notices any pupils teasing other students, this is not acceptable conduct. First and foremost, will tell the students who are teasing that their acts are inappropriate and will express my displeasure. I'm not going to join their in their laughter. Bullying is a form of youth violence that is traumatic for children (ACE).
As a result, two students teasing a third student who you don't know well. Others are laughing and watching. All of the above, could you prevent this type of bullying from being seen as "normal. Therefore, option (d) is correct.
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Your question is incomplete, but most probably the full question was.
А Speak up and let the students teasing know you disagree with their actions.B Tell the student who is being teased that he can come sit with you.C Don't join in laughing.D All of the above.Marketing segmentation is one of the easiest aspects of marketing.
true or false
Answer:
false
Explanation:
I THINK IT'S FALSE OK?! I'm a straight B student, if that's enough proof LOL
in a well-diversified portfolio market risk is negligible firm-specific risk is negligible systematic risk is negligible inflation risk
In a well-diversified portfolio, market risk is reduced through the inclusion of a variety of different investments across different sectors and asset classes. Similarly, firm-specific risk is mitigated through the inclusion of multiple companies and industries in the portfolio. Systematic risk is also minimized as a result of diversification, which helps to reduce the impact of broader economic factors on the portfolio.
1. Market risk is the risk associated with fluctuations in the overall market. In a well-diversified portfolio, market risk is negligible because the investments are spread across different sectors, reducing the impact of a downturn in any one sector.
2. Firm-specific risk is the risk associated with an individual company. In a well-diversified portfolio, the firm-specific risk is negligible because investing in a variety of companies reduces the impact of any one company's performance on the overall portfolio.
3. Systematic risk is the risk inherent to the entire market or market segment, which cannot be eliminated through diversification. However, in a well-diversified portfolio, systematic risk is also negligible because the investments are spread across different asset classes, such as stocks, bonds, and real estate, reducing the impact of any one asset class's performance on the overall portfolio.
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Explain why you might not want to have passive income as your only source of income.
Answer:
Passive income is dependent on the actions of others, and you have little influence over the amount of money you earn. Without doing anything different, the money you receive from it might be extremely excellent or very awful. If, for example, you are a novelist and your book is panned, you may not be able to make a living from it. If people like it, on the other hand, you may make a lot of money.
____________OAmalOHopeO
______________
Answer:
Passive income relies on what others do and you dont really have control over the amount of money you make
using piece-rate pay, management bases an employee’s pay on the________.
Using piece-rate pay, management bases an employee’s pay on the number of units produced or tasks completed.
Piece-rate pay is a method of compensation that pays workers a fixed rate for each unit of work completed. In other words, the workers are paid based on their productivity. The rate may differ based on the task or unit being produced.In piece-rate pay, employees receive payment based on the quantity of products or services produced. For example, workers in a garment factory who are paid based on the number of garments they produce per hour or day are on a piece-rate pay system. If the workers finish more products in less time, their pay increases as well. This system motivates the workers to work harder and increases productivity.
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The united states and canada conduct broad-based trade with each other. Which aspect of natural capital allows for this trade?.
The united states and Canada conduct broad-based trade with each other. The aspect of natural capital that allows for this trade is Location.
What is trade?Trade involves the transfer of goods and services from one person or entity to another, often for money. Economists refer to a market as a system or network that makes business possible.
An early form of trade, barter, involved the direct exchange of goods and services for other goods and services, i.e. exchange of goods without money. Modern businessmen usually negotiate with an exchange such as money. As a result, buying can be separated from selling or earning. The invention of money greatly facilitated and promoted trade. A trade between two traders is called a bilateral trade, while a trade involving more than two traders is called a multilateral trade.
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Select two learning styles from the following list. Describe ways in which each of the two learning styles prefer to learn. Bodily/kinesthetic, interpersonal, intrapersonal, logical/mathematical, naturalistic, rhythmic/musical, verbal/linguistic.
Answer:
interpersonal
positive behaviors used when interacting with others
intrapersonal
relationship with self
Explanation:
I really don't have an explanation sorry