Shopping carts at grocery stores in Vancouver typically require a security deposit of $1, but in Prince Rupert, only 25 cents because of the problem of missing or abandoned shopping carts.In grocery stores, shopping carts are often used for customer convenience, but they become a problem when not returned after use.
To keep carts in good condition, stores have to send employees to collect them from all over the parking lot, which takes time and labor. Carts are also subject to damage when left out in the parking lot. These issues are addressed by requiring a security deposit. In Vancouver, because shopping carts are frequently missing or abandoned in parking lots, stores require a higher deposit to encourage customers to return the carts to their designated areas. The $1 deposit encourages customers to return the cart, as they will want to get their money back.In Prince Rupert, on the other hand, stores require only a 25-cent deposit for carts because it is not as much of a problem.
Carts are more likely to be returned to their designated areas without a higher deposit. As a result, stores can operate more efficiently with a lower deposit.Based on the information provided, the security deposit for shopping carts is higher in Vancouver because of the problem of missing or abandoned carts, while the deposit is lower in Prince Rupert because this is not as much of an issue. the deposit differs between the two locations. In shopping cart security deposits vary based on local conditions and the extent of the problem of missing or abandoned carts.
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with regard to strategic trade policy, what are two actions governments take in response to pressure from business firms?
The two actions governments take in response to pressure from business firms Increased protectionism, Push for more open markets and freer trade.
What two elements make up strategic trade policy?To increase national revenue, strategic trade policy consists of two parts: assisting businesses in capturing first-mover advantages and interfering in markets where foreign companies already have a first-mover advantage.
What are the two basic justifications for government trade restrictions?defending native industry against international competition.
Keeping budding industries alive until they are fully developed and competitive globally.
obtaining domestic work and revenue.
to bring in money for the government.
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abc partners was formed during the current tax year. it incurred $10,000 of organizational expenses, $80,000 of startup expenses, and $5,000 of transfer taxes to retitle property contributed by a partner. the property had been held as macrs property for 10 years by the contributing partner and had an adjusted basis to the partner of $300,000 and a fair market value of $400,000. which of the following statements regarding these items is true?
The statement "The organizational expenses and startup expenses incurred by ABC Partners can be deducted, but the transfer taxes cannot be deducted." is true.
Organizational expenses: These expenses incurred in forming the partnership, such as legal fees, can be deducted up to a maximum of $5,000 in the year they are incurred. The remaining $5,000 would need to be amortized over a period of 180 months (15 years) or more.
Startup expenses: These expenses incurred before the partnership begins its active business operations, such as market research or employee training, can be deducted up to a maximum of $5,000 in the year they are incurred. Any excess startup expenses above $5,000 must be amortized over a period of 180 months (15 years) or more.
Transfer taxes: Transfer taxes incurred to retitle the property contributed by a partner are not deductible as expenses for tax purposes. They are considered part of the cost basis of the property.
Therefore, the true statement is that the organizational expenses and startup expenses can be deducted, but the transfer taxes cannot be deducted.
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Read the following scenario, and then answer the question below.
A new pet supply company plans to primarily sell products in stores. They need a system that will track their large
inventory and keep customer sales records.
Which evaluation factor will be most important when choosing technology for the company?
1)speed
2)size
3)storage
4)connectivity
The correct answer is 3) storage
Explanation:
In technology, storage refers to the amount of information a system, program, or similar can record and save. This factor is especially important when businesses or companies need to keep a lot of information from sales, inventory, and similar. This occurs in the case of the pet supply company because it is explained they need a technological system to "track their large inventory and keep customer sales records", therefore their priority will be to record and save their information or the storage in the system.
Answer:
c
Explanation:
c
Just learned/registered to be a therapist! Let me know if you want to talk about anything, or just have conversations. I want everyone to know that I’m here and I know it’s hard to put your feelings on the internet but I want you to feel safe. Feel free to leave anything in the comments
Answer:
wow i totally need this
Explanation:
Seed capital pays for which of the following?
A. Operating expenses for the first year of a new business
B. Expanding production and advertising budgets
C. Funding for research and development of a business idea
D. Competitive wages for high-tech workers
Edit: It's C
Answer:
It's C !
Explanation:
Hope you have a good day!
Seed capital pays for: C. Funding for research and development of a business idea.
The seed capital pays for market research for initial steps of product development. For example, development of the prototype or paying for all operating expenses like legal costs.
Seed capital provides operating expenses for the entire process of business. Hence, A is incorrect.
It has no role directly in the expansion of production and advertising budgets. Hence, B is incorrect.
It has no role in decision of competitive wages for high tech workers. Hence, D is incorrect.
Hence, C is correct option.
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The influence of substitution on the firm’s business and industry environment are examined in this component of the Five Forces analysis. The following external factors contribute to the strong threat of substitutes are; High performance of substitutes Low switching costs High availability of substitutes Depending on the respective price-to-performance ratios of the many goods or services that customers can use to meet the same fundamental need, alternative items can threaten the profitability of an industry. Switching costs, or the expenses associated with retraining, retooling, and redesigning when a consumer converts to a different kind of good or service, have an impact on the danger of substitution. An S-shaped curve is followed during the substitution procedure. It begins slowly when a small number of trendsetters take a chance on experimenting with the replacement, gains up momentum if other consumers follow suit, and finally levels off when practically all the opportunities for a cheap replacement have been explored. In today’s health conscious environment, a new company might be able to capitalize on an organic, or natural soft drink. Although pulp and press is a competitor of Coca Cola and Pepsi, it promotes natural teas, waters and juices. If a company could utilize a similar
theme of pulp and press but apply it to a soft drink, they may be able to grab a solid portion of the diet cola (health conscious) market
• do you agree or disagree on this paragraph
I agree with the content regarding the influence of substitution and its impact on the firm's business and industry environment. The paragraph highlights several external factors that contribute to the strong threat of substitutes, including the high performance of substitutes, low switching costs, and high availability of substitutes.
The paragraph also mentions the S-shaped curve that typically characterizes the substitution process. Initially, a small number of trendsetters experiment with the substitute, which gradually gains momentum as other consumers follow suit. Eventually, the rate of substitution levels off as most opportunities for a cheap replacement have been explored.
The example provided about a new company capitalizing on the health-conscious trend by offering an organic or natural soft drink is plausible. By leveraging the concept of promoting healthier options in the beverage industry, this new company could potentially attract a significant portion of the diet cola market, particularly among health-conscious consumers.
Overall, the paragraph provides a reasonable explanation of the impact of substitution on the firm's business and industry environment, as well as the potential opportunities for companies to capitalize on emerging trends and consumer preferences.
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HELP QUICK PLEASE!!!!! William is not generally a risk-taker, but he knows he may need to step out of his comfort zone to make enough money for retirement. Which investment option would best meet William’s needs?
a US savings bond
a savings account
a commodity
a certificate of deposit
Sophia is renting a home from Roberto. There is no written lease, and the agreement is that Sophia will pay rent on the first of every month. Either party may terminate the agreement with 30 days' notice. Sophia has a
In the given scenario, Sophia is renting a home from Roberto on an informal agreement without a written lease. The agreement is that Sophia will pay rent on the first of every month and either party can terminate the agreement by giving 30 days' notice.
Sophia has a question regarding the notice period for vacating the property. Based on the agreement, it seems that Sophia needs to give a notice of 30 days before vacating the property. Similarly, Roberto also needs to give a notice of 30 days before terminating the agreement. In the absence of a written lease, it is advisable for both parties to have a clear understanding of the terms and conditions of the rental agreement. It is also recommended to have a written agreement that outlines the responsibilities of both parties to avoid any confusion or misunderstanding in the future.
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What have instant communication and sales made possible? Check all that apply.
Putting money into more than one kind of investment at a time is called liquidity. sunken cost. diversification. compound interest.
Answer:
diversification
Putting money into more than one kind of investment at a time is called diversification.
What is diversification?Diversification is the process of investing in diverse opportunities so as to reduce non-systemic risks. For example, if a person buys the stock of a health care company, in order to diversify, the person might invest in the stocks of an automobile company.
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belden, inc., acquires 30 percent of the outstanding voting shares of sheffield, inc., on january 1, 2020, for $312,000, which gives belden the ability to significantly influence sheffield. sheffield has a net book value of $800,000 at january 1, 2020. sheffield’s asset and liability accounts showed carrying amounts considered equal to fair values, except for a copyright whose value accounted for belden’s excess cost over book value in its 30 percent purchase. the copyright had a remaining life of 16 years at january 1, 2020. no goodwill resulted from belden’s share purchase.
It's worth noting that no goodwill resulted from Belden's share purchase. Goodwill typically arises when the purchase price exceeds the fair value of net assets acquired.
Based on the given information, Belden, Inc. acquires 30% of the outstanding voting shares of Sheffield, Inc. on January 1, 2020, for $312,000. This acquisition gives Belden the ability to significantly influence Sheffield. Sheffield has a net book value of $800,000 at January 1, 2020.
The asset and liability accounts of Sheffield are considered to have carrying amounts equal to their fair values, except for a copyright. The excess cost over the book value of the 30% purchase by Belden is attributed to the copyright. The copyright has a remaining life of 16 years as of January 1, 2020.
From the given information, it can be inferred that Belden's acquisition of the 30% voting shares of Sheffield resulted in an increase in Sheffield's net book value. This increase is primarily due to the inclusion of the copyright asset and its fair value.
In this case, the excess cost over the book value is specifically attributed to the copyright asset, indicating that no additional goodwill is recognized in the acquisition.
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how can we use the list of preference while making decisions
Answer:
you Nepal ?
Explanation:
hey what you asking
The Sweetwater County Sheriff’s Office maintains a fund to which it transfers the phone company commissions it earns on inmates’ pay-phone calls. The monies collected are used to provide inmate "amenities" – books and magazines, writing paper, postage stamps, chewing gum, and so on. The resources of the fund are periodically transferred for as private-purpose trust fund (a fiduciary fund) or a government fund, such as a special revenue fund?
The classification of the fund should be based on a careful analysis of its resources, purpose, and legal restrictions to ensure compliance with accounting and reporting standards.
The decision to classify the Sweetwater County Sheriff's Office's fund as either a private-purpose trust fund or a government fund depends on the nature of the fund's resources and their intended use.
If the resources are derived from private sources, such as phone company commissions, and are intended solely for the benefit of inmates, then the fund would be classified as a private-purpose trust fund. The use of the fund's resources must be restricted to providing amenities for inmates, and any excess funds must be returned to the original donors.
On the other hand, if the resources are derived from public sources, such as tax revenues, and are intended to support the Sheriff's Office's operations, including the provision of amenities for inmates, then the fund would be classified as a government fund, such as a special revenue fund. The use of the fund's resources must be consistent with the purpose for which the fund was established and must be subject to government accounting and reporting requirements.
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when an increase in government purchases increases the income of some people, and those people spend some of that increase in income on additional consumer goods, we have seen a demonstration of
The crowding-out effect has been demonstrated when an increase in government spending raises certain people's income and those people then spend a portion of that money on more consumer items. The Marginal Propensity to Consume or MPC is highlighted by this.
Describe MPC.
The percentage of an overall pay increase that a consumer spends on purchasing goods and services rather than saving is known as the marginal propensity to consume (MPC) in economics.
Keynesian macroeconomic theory includes a concept known as marginal propensity to consume, which is calculated as the change in consumption divided by the change in income. A consumption line represents MPC.
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The Greenbriar is an all-equity firm with a total market value of $520,000 and 20,000 shares of stock outstanding. Management is considering issuing $120,000 of debt at an interest rate of 10 percent and using the proceeds on a stock repurchase. Ignore taxes. How many shares will the firm repurchase if it issues the debt securities?
a. 2,871 shares
b. 3,516 shares
c. 4,521 shares
d. 4,607 shares
e. 4,615 shares
The firm will repurchase approximately 4,615 shares if it issues the debt securities. The correct answer is option e.
To determine the number of shares the firm will repurchase if it issues $120,000 of debt securities, we need to calculate the repurchase amount and divide it by the stock price.
The repurchase amount is equal to the debt proceeds of $120,000. The stock price can be calculated by dividing the total market value of $520,000 by the number of shares outstanding (20,000).
Stock price = Total market value / Number of shares
Stock price = $520,000 / 20,000
Stock price = $26
Now we can calculate the number of shares repurchased:
Number of shares repurchased = Repurchase amount / Stock price
Number of shares repurchased = $120,000 / $26
Number of shares repurchased ≈ 4,615
The correct answer is option e.
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What do you mean by the vocations based on capital ? Explain with examples
Answer:
Capital asset -investment activity is vocation or business being an adventure or concern in nature of commerce. Income/ loss from such activity will fall under different heads of income.
Explanation:
this is the correct answer
Great Lakes Packing has two bond issues outstanding. The first issue has a coupon rate of 3.54 percent, a par value of $1,000 per bond, matures in 4 years, has a total face value of $3.8 million, and is quoted at 103 percent of face value. The second issue has a coupon rate of 6.10 percent, a par value of $2,000 per bond, matures in 23 years, has a total face value of $8.1 million, and is quoted at 95 percent of face value. Both bonds pay interest semiannually. The company's tax rate is 39 percent. What is the firm's weighted average aftertax cost of debt
Answer:
3.20%
Explanation:
The firm's weighted average aftertax cost of debt can be determined by first of all determining the before-tax cost of each debt.
Using a financial calculator, the before-tax costs of debt are ascertained as follows:
Bond 1:
N=8(number of semiannual coupons in 4 years)
PMT=17.70 (semiannual coupon=face value*coupon rate/2=$1,000*3.54%/2=$17.70)
PV=-1030(current price=$1000*103%=$1030)
FV=1000(the face value is $1000)
CPT
I/Y=1.37%(the semannual yield, annual yield=1.37%*2=2.74%)
after-tax cost of first debt=2.74%*(1-39%)=1.67%
Bond 2:
N=46(number of semiannual coupons in 23 years)
PMT=30.50 (semiannual coupon=face value*coupon rate/2=$1,000*6.10%/2=$30.50)
PV=-950(current price=$1000*95%=$950)
FV=1000(the face value is $1000)
CPT
I/Y=3.26%%(the semannual yield, annual yield=3.26%%*2=6.52%)
after-tax cost of second debt=6.52%*(1-39%)=3.98%
market value of first debt=$3.8 million*103%=$3,914,000
market value of second debt=$8.1 million*95%=$7,695,000
total market value of debts=$3,914,000+$7,695,000=$11,609,000
firm's weighted average aftertax cost of debt=(1.67%*$3,914,000/$11,609,000)+(3.98%*$7,695,000/$11,609,000)
firm's weighted average aftertax cost of debt=3.20%
An industry comprised of a very large number of sellers producing a standardized product is known as:
Answer:
The appropriate response is "Pure competition".
Explanation:
Pure competition seems to be an economically efficient circumstance where there is already a massive quantity of international customers and retailers as well as the manufacturer would be ready for deployment. Even though both a significant quantity of products as well as extremely similar or defined consumer items seem to be characteristics of pure competition.if a company expects to realize more of a deferred tax asset than they had estimated in the previous period, they should record a
A company should record an asset if it anticipates realizing more of a deferred tax asset than it had estimated in the prior period.
Let's say a business overpaid its taxes or paid them in advance for a specific financial term. The extra tax you paid in that situation is referred to as a deferred tax asset. As an asset on the balance sheet, these taxes are eventually repaid to the company or subtracted from subsequent taxes.
When there are discrepancies between tax laws and accounting principles or when there is a carryover of tax losses, a deferred tax asset may develop.
To reflect this, a deferred tax liability will be credited (increased) in the Statement of Financial Position, and a tax expense will be debited (increased) in the Statement of Profit or Loss.
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a relationship selling strategy focused on retaining customers is often more expensive to a company because of having to constantly prospect for and sell to new customers. true false
The statement "a relationship selling strategy focused on retaining customers is often more expensive to a company because of having to constantly prospect for and sell to new customers" is true.
When a company focuses on retaining customers through relationship selling, it means they prioritize building strong, ongoing relationships with existing customers rather than constantly seeking new ones. While this can lead to customer loyalty and long-term benefits, it can also be more expensive for the company in several ways:
1. Higher marketing and sales costs: Building and maintaining relationships with existing customers requires ongoing efforts in marketing and sales. This includes activities like personalized communication, customer service, and loyalty programs. These additional expenses can contribute to the overall cost of retaining customers.
2. Lower revenue per customer: In a relationship selling strategy, the focus is on long-term customer satisfaction and repeat business. This may result in lower profit margins per individual customer compared to acquiring new customers. While the revenue from existing customers may be stable, it might not be as substantial as the revenue from constantly acquiring new customers.
3. Opportunity cost: By focusing on retaining existing customers, a company may miss out on potential revenue from acquiring new customers. This means they might need to invest more time and resources in prospecting for new customers, which can be costly in terms of marketing efforts and sales strategies.
To summarize, a relationship selling strategy that prioritizes retaining customers can be more expensive for a company due to higher marketing and sales costs, potentially lower revenue per customer, and the opportunity cost of not acquiring new customers. However, it is important to note that while this strategy may have higher upfront costs, the long-term benefits of customer loyalty and repeat business can outweigh these expenses.
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Land costing $44,800 was sold for $88,269 cash. The gain on the sale was reported on the income statement as "Other revenue." On the statement of cash flows, what amount should be reported as an investing activity from the sale of land?
a.$88,269
b.$43,469
c.$133,069
d.$44,800
The amount that should be reported as an investing activity from the sale of land on the statement of cash flows is option a) $88,269. This represents the cash generated from the sale of the land.
On the statement of cash flows, the sale of land is classified as an investing activity because it involves the purchase and sale of long-term assets. When land is sold, the cash received from the sale is considered an inflow of cash and should be reported as a positive value under the investing activities section.
In this case, the land was sold for $88,269 cash, so this amount should be reported as an investing activity on the statement of cash flows. The gain on the sale of land, which is reported as "Other revenue" on the income statement, does not affect the amount reported as an investing activity on the statement of cash flows. The gain on the sale is a non-cash item and is not included in the calculation of the cash flow from investing activities.
To summarize, the amount that should be reported as an investing activity from the sale of land on the statement of cash flows is $88,269, which represents the cash received from the sale. The correct option is a.
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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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. Suppose you are choosing between a checking account with a $0.40 per-check fee and no monthly fee or an account with free checking and a $6.50 monthly fee. What is the minimum number of checks you need to write for the monthly fee to be a better option?
Answer:
You answer should be 17
Explanation:
If you write 17 checks for $0.40 your would pay $6.80 at the end of the month, which then makes the one with a monthly fee a better option.
"ella obtains a $750,000 balloon mortgage for an investment property. The mortgage has terms of 15/3 at an interest rate of 5. 5%. The monthly payment is $6,128. 13. How much is the remaining balance after 3 years rounded to the nearest dollar?"
After mortgage for an investment property 529,387 is the remaining balance after 3 years rounded to the nearest dollar
A mortgage is an agreement between you and a lender that gives the lender the right to seize your property if you are unable to repay the loan amount plus interest. Mortgages are loans used to buy homes and other real estate. The physical property serves as the loan's security. Fixed-rate and adjustable-rate mortgages are just two of the many types of mortgages available. The cost of a mortgage will differ depending on the type of loan, how long the loan is (30 years, for example), and the interest rate the lender charges.
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Juliette is using her gaming system that is connected to the
Internet at home. She is playing a video game with other
students at her school who are at their own houses. They are
exchanging strategies as they play together in real-time. This
is an example of:
А
online gaming
B.
cybersecurity
all Malikal
с
O
video game exchange.
OPEN
D
social networking
A
Answer:
I think the answer is A online gaming
kim's company only participates in international purchasing activities when needed. unfortunately, this means that those international purchases are typically last-minute. which of the strategic levels of global purchasing does this represent?
kim's company only participates in international purchasing activities when needed. unfortunately, this means that those international purchases are typically last-minute. Level II(2nd level) of the strategic levels of global purchasing does this represent.
By "international purchasing," what do you mean?A component of international trade is international purchasing. In order to run and sustain their operational activities under the most advantageous conditions, it is the process of enabling businesses and purchasers to purchase goods and services from another country. means sourcing the components or raw materials used to make a company's products from countries other than their country of headquarters. Starbucks, for instance, sources its coffee from nations like Guatemala and Colombia.
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4. What competitive structure features pricing that is determined entirely through the laws of supply and demand and requires t
Moderate competition
Perfect competition
Monopolistic competition
Direct competition
Pricing is not determined by supply and demand forces in monopolistic competition. Companies set the prices for their distinctly different yet similarly priced items. The answer is option (c).
What is monopolistic competition?When a large number of businesses provide rival goods or services that are comparable but imperfect alternatives, monopolistic competition develops. A monopolistic competitive economy has minimal entry requirements, and actions made by any one business do not immediately impact those of its rivals.
Consider a market system where there are many businesses and free enterprise entrance and exit, but the goods these businesses produce are not uniform. A market structure like this is referred to as monopolistic competition.
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BUSINESS MANAGEMENT
5. Values are among the most stable and enduring characteristics of individuals. The trouble with values, unfortunately, is that they are taken for granted, and people are often unaware of them.
true or false
True. Values are considered to be stable and enduring characteristics of individuals. However, the trouble lies in the fact that they are often taken for granted and individuals may be unaware of their own values.
Values are deeply ingrained beliefs and principles that guide individuals' behaviors and decisions. They form an integral part of a person's identity and are developed through a combination of factors such as upbringing, culture, education, and personal experiences. Values tend to be stable and consistent over time, reflecting an individual's core beliefs and priorities.
Despite their importance, values are often taken for granted. They become so ingrained in individuals' thought processes and actions that they may not actively question or reflect upon them.
As a result, people may not fully understand or be aware of their own values. This lack of awareness can lead to challenges in personal and professional settings, as individuals may unknowingly act in ways that contradict their values or fail to align their behaviors with their deeply held beliefs.
To overcome this challenge, it is essential for individuals to engage in self-reflection and introspection. By consciously exploring their values and examining how they influence their thoughts and actions, individuals can gain a better understanding of themselves and make more informed decisions.
Creating opportunities for open dialogue and discussion about values can also help raise awareness and foster a greater appreciation for the diversity of values within a society or organization.
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According to the video, what are a Computer Programmer's real skills? Check all that apply.
✅breaking down a job into small steps
❌researching what customers want
✅anticipating problems
❌selling software products
❌coordinating a group of workers
Answer:
1 3 thx for the answer!
Explanation:
Answer:
THANK YOU SO MUCH
Explanation:
Franklin is planning for a purchase of a vehicle in two years. Since he wants to be
certain that his funds are safe (insured), which of the following should he use? *
O A credit card
O A mortage
O A loan
O A savings account
Answer: A Savings Account
Explanation: