Based on the given information, ABC Corporation is likely to win the lawsuit and have priority over Mrs. Purple's security interest.
ABC Corporation had a chattel mortgage granted by XYZ Company, and Mr. Purple guaranteed the mortgage. However, due to an oversight, the financing statement was not registered in the PPSA registration system. On the other hand, Mrs. Purple filed a financing statement regarding loans she made to XYZ Company but had actual notice of the guarantee and chattel mortgage.
In this case, the priority of security interests is generally determined by the order of registration. Since ABC Corporation subsequently registered its financing statement regarding the chattel mortgage, it took steps to rectify the oversight. By registering the financing statement, ABC Corporation establishes its priority over Mrs. Purple's security interest.
Therefore, ABC Corporation is likely to win the lawsuit and have priority over Mrs. Purple's security interest due to the proper registration of the chattel mortgage financing statement.
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Government actions taken to mange a country’s money supply are called ————-policy
Answer:
Government actions taken to mange a country’s money supply are called ——Monetary——-policy
Question
Government actions taken to mange a country’s money supply are called ————-policy
Answer
MonetaryExplanation
Monetary is a government actions that taken to manage a countries by supplying money.
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Jane has just graduated from college and is ready to pursue a career in marketing. She asks you, her advisor to review her career portfolio before beginning her job search. Which of these items do you suggest she remove from her portfolio? O A. College transcript B. Honor society award O C. Previous job as a sales associate O D. Prom queen award
Prom queen award is the items do you suggest she remove from her portfolio. Hence, option D is correct.
What is a career in marketing?Marketers are responsible for promoting a company's products and services. Marketing experts frequently create and execute both inbound and outbound promotional campaigns that raise brand awareness and use marketing techniques to convince people to make a purchase from a company.
Marketing is a strong major due to its amazing versatility and potential to lead to a wide range of high-paying, in-demand careers with outstanding work satisfaction and opportunities for further study. Students majoring in marketing might make between $50k and $208k per year. The Top 10% of Earners Made Over $208,000.
The report's conclusions were based on information gathered from a survey of more than 400 marketing and advertising professionals situated in the United States.
Thus, option D is correct.
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Garnishment of wage means that a:
A. Creditor is earning interest on your wages
B. Creditor is going to foreclose on your property
C. Lender is going to take you to court to collect on a debt
D. Lender is taking money from your paycheck or bank account
Garnishment of wage means that a lender is going to take you to court to collect on a debt. It alludes to a legal procedure that directs a third party to take money out of a debtor's paycheck or bank account on their behalf.
The third party or lender, also referred to as the garnishee, is frequently the debtor's employer. Employers are not allowed to terminate a worker in order to avoid processing a garnishment wage under federal law.
For debts including unpaid taxes, cash penalties, child support obligations, and unpaid student loans, garnishments are used. In order to garnish a debtor's wages, a lender normally needs to acquire a court judgement establishing that the debtor owes money and has missed payments.
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Answer:
Lender is taking money from your paycheck or bank account
Explanation:
MARK YOU THE BRAINLIEST! Explain how production gives form utility to natural resources.
Explanation:
land has a broad definition as factor of production and can take many forms from agricultural land to commercial real estate. natural resources such as gold and oil can be extracted and refined for human consumption. cultivation of crops on land can increase its value and utility
Switzerland is much smaller than the united states but its population density is much greater. Although switzerland’s gdp is much smaller than the united states’ gdp, its _______ is slightly higher.
Switzerland is much smaller than the united states but its population density is much greater. Although Switzerland's GDP is much smaller than the united states' GDP, its GDP per capita is slightly higher.
A country's Gross Domestic Product (GDP) per capita is calculated by dividing the GDP by the entire population. The table that follows ranks all of the nations in the world according to nominal GDP per capita and GDP at purchasing power parity (PPP) per capita. Therefore, a higher GDP per capita is frequently associated with excellent outcomes in a wide variety of areas, such as better fitness, more education, or even more lifestyle satisfaction. United States of America. The United States of America is a North American country and the strongest naval and economic power in the region. Likewise, its cultural influence is felt around the globe, mostly because to the popular culture that is reflected in music, movies, and television.
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Why can wholesalers afford to offer trade discounts?
Answer:
Wholesalers buy products from manufacturers at a lower price than other businesses because they receive discounts for volume buying.
Explanation:
I have no explanation really to say. Thats just the answer.
a. compute the predetermined overhead rate used to apply administrative costs to the two services assuming smi uses the engineering hours to allocate administrative costs. b. based on the rates computed in requirement (a), what is the profit for each service?
a. To compute the predetermined overhead rate used to apply administrative costs to the two services, we need to determine the total estimated overhead costs associated with these services.
The estimated overhead costs associated with the two services can then be allocated based on the estimated engineering hours needed to complete them.
b. The profit for each service can be calculated using the predetermined overhead rate computed in requirement (a). For each service, the profit can be found by subtracting the overhead costs associated with the service from the revenue associated with the service.
How to calculate predetermined overhead ratea) To do this, we first need to calculate the total estimated overhead costs of both services. The total estimated overhead costs can be found by summing the estimated costs of each service.
Once the total estimated overhead costs is determined, it can be divided by the total estimated engineering hours needed to complete the services. This will yield the predetermined overhead rate used to apply administrative costs to the two services.
b) To do this, we first need to calculate the total overhead costs associated with the service by multiplying the predetermined overhead rate by the estimated engineering hours needed to complete the service. The total overhead costs for each service can then be subtracted from the revenue associated with the service to find the profit for each service.
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Pepita Management Company entered into a 2-year contract to oversee leasing and maintenance for an apartment building on June 1, 2022. The contract starts on July 1, 2022. Under the terms of the contract, Pepita will be paid a fixed fee of $60,000 per year and will receive an additional 10% of the fixed fee at the end of each year provided that building occupancy exceeds 80%. Pepita estimates a 40% chance it will exceed the occupancy threshold, and concludes the revenue recognition over time is appropriate for this contract. Assume Pepita estimates variable consideration as the most likely amount. How much revenue should Pepita's recognize on this contract in 2022 ? Explain your answer.
The total revenue that Pepita should recognize in 2022 is the sum of the fixed fee portion and the expected additional fee $32,400. However, it's important to note that revenue recognition over time is appropriate for this contract based on Pepita's assessment, which implies that the revenue should be recognized proportionally over the duration of the contract.
To determine the revenue that Pepita should recognize in 2022, we need to consider the fixed fee and the additional 10% fee based on occupancy.
The fixed fee per year is $60,000. Since the contract starts on July 1, 2022, Pepita will be providing its services for only half of the year in 2022. Therefore, the portion of the fixed fee that should be recognized in 2022 is $60,000 divided by 2, which equals $30,000.
The additional 10% fee is contingent upon the building occupancy exceeding 80%. Pepita estimates a 40% chance of meeting this threshold. Since the variable consideration should be estimated as the most likely amount, we can calculate the expected additional fee as follows:
Expected additional fee = 10% of the fixed fee * Probability of meeting occupancy threshold
Expected additional fee = 10% * $60,000 * 40% = $2,400
Therefore, the total revenue that Pepita should recognize in 2022 is the sum of the fixed fee portion and the expected additional fee, which is $30,000 + $2,400 = $32,400.
Therefore, $32,400 should be recognized as revenue in 2022.
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you are the ceo of a car manufacturing company, and realize that you may have to lay off 10,000 employees unless you take some other form of action. your chief financial officer comes up with two solutions: the first saves 6,000 jobs, and the second causes the company to lose 4,000 jobs. the first option sounds ideal at first; however, both options give the same outcome of cutting 4,000 jobs and saving 6,000 jobs. this example represents the concept of:
After analyzing the situation of the CEO, this example represents the concept of framing effect.
The framing effect refers to how people's decisions and judgments are influenced by how information is presented or "framed." It suggests that the way a situation or choice is framed can significantly impact decision-making.
The framing effect shows that individuals may respond differently based on whether options are presented as gains or losses, highlighting the role of perception and cognitive biases in decision-making. The framing effect demonstrates that the same information presented in different ways can elicit varying responses and decisions from individuals.
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with reference to orm, _____ is the first step to getting involved in the conversation surrounding a company.
The first step to getting involved in the conversation surrounding a company in the context of ORM (Online Reputation Management) is "listening."
In Online Reputation Management, listening is considered the initial and crucial step in engaging with the online conversation about a company. It involves actively monitoring and tracking online discussions, mentions, reviews, and social media conversations related to the company.
By listening, a company gains valuable insights into what customers and the public are saying about their brand, products, or services. This step allows the company to understand its online reputation, identify areas for improvement, address customer concerns or issues promptly, and ultimately shape its online presence and reputation.
Listening helps companies stay informed, proactive, and responsive in managing their online reputation effectively.
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The risk that a central bank will not make the necessary transfer of foreign currency to complete a currency settlement is known as ________ risk. Group of answer choices settlement exchange rate Interest-rate Herstatt
Answer:
Herstatt.
Explanation:
The risk that a central bank will not make the necessary transfer of foreign currency to complete a currency settlement is known as herstatt risk.
Herstatt risk is also known as cross-settlement risk or settlement risk. It was named after Bankaus Herstatt (a German bank) that failed in June 1974 when it was supposed to settle a contract for a payment received from the other party and consequently, amounting to a loss of about $602,000,000.
Hence, is mainly a loss in foreign exchange transactions where a party defaults after receiving money from another.
2.which of the following statements best describes a keynesian approach to economics? a)aggregate demand is the most important driving force in the economy, but free-markets have no self-balancing mechanisms that lead to full-employment; therefore, government intervention is often necessary to stabilize an economy. b)politics determines economics, the nature of economics is conflictual, and the main actors are nation-states; therefore, the main goal of economic activity is the maximization of national interest. c)individual freedom to pursue interests/wealth in an open market free of government interference with the role of government to primarily protect property rights. d)resources flow from a periphery of poor and underdeveloped countries (global south) to a core of wealthy states (global north) enriching the latter at the expense of the former. poor countries are systemically locked into this unfavorable situation.
Option a is correct. The main economic driver is aggregate demand, but since free markets lack self-balancing mechanisms that lead to full employment, stabilising an economy frequently requires government intervention.
A macroeconomic theory known as Keynesian economics examines the total amount of spending in the economy and how it affects production, employment, and inflation. In an effort to comprehend the Great Depression, British economist John Maynard Keynes created it in the 1930s.
The fundamental tenet of Keynesian economics is that economic stabilisation may be achieved by government intervention. Keynes' theory was the first to clearly distinguish between the study of individual motivations and economic behaviour from those of broad aggregate variables and conceptions.
Keynes' theory led him to propose higher government spending and lower taxes as a way to boost demand and rescue the world economy from the Great Depression. Later, the term "Keynesian economics" was used to describe the idea that economic performance could be optimised and economic downturns might be avoided.
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Select the items that are needs from your bank statement. ABC BANK Available Balance $230.00 Cell phone plan$45 Rent$400 Car insurance$60 Backpack$10 Electric bill$60 Car payment$250 Submit
Answer:everything but the backpack
Explanation:
A store has a sale where all jackets are sold at a discount of 40%. If the regular price of the jackets is $75, how many jackets could be bought at the sale price if a shopper spent $495?.
The number of jackets that can be bought at the sales price if s shopper spent $495 is 11.
How many jackets can be bought?A discount is when the price of an item is reduced by a certain percentage. After a discount, an item becomes cheaper.
The first step is to determine the price of the jacket after the discount has been applied.
Price after the discount = (1 - discount) x price of the jacket
Price after the discount = (1 - 0.40) x $75
Price after the discount = 0.60 x $75
Price after the discount = 45
In order to determine how many jackets that can be bought, divide the total amount the shopper took by the discounted price of the jacket.
Number of jackets that the shopper can buy = total amount spent / discounted price of the jacket
Number of jackets that the shopper can buy = $495 / $45
Number of jackets that the shopper can buy = 11
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Today's theories about motivation emphasize the importance of factors within the individual particularly the variables of expectancy and value Students' motivations are strongly influenced by what they think is important (value) and what they believe they can accomplish (expectancy). Who quote is this?
What students value and what they believe can accomplish have a significant impact on their motivation expectancy. This quote comes from the philosophy of motivation.
What motivational ideas does the expectancy-value theory put forth?
The relationship between a student's expectation for success at a task or the achievement of a goal in relation to the value of task completion or goal attainment is described by the expectancy-value theory, which is a theory of motivation. A student's expectation for success on a particular activity is referred to as expectancy. Theoretical models of motivation nowadays place a strong emphasis on internal factors, particularly the variables of expectation and value.
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what are sources of cash to an investor from owning stock?
Answer:
Cash flow from investing activities is the cash that has been generated (or spent) on non-current assets that are intended to produce a profit in the future. Types of activities that this may include are capital expenditures, lending money, and sale of investment securities.
Cash From Operations. Cash from operations consists of cash collected from sales revenue after payments for costs of goods, taxes, interest on loans and other expenses are subtracted.
Answer:
A Sources and Uses of Cash schedule gives a summary of where capital will come from (the “Sources”) and what the capital will be spent on (the “Uses”) in a corporate finance transaction. When computing their total amounts, the sources and uses accounts should equal each other.
Explanation:
sources and uses of cash schedule
A firm's demand for labor is known as a derived demand because the firm gains utility from hiring more labor the firm gains utility from hiring more labor A the wage rate paid to workers depends on the demand for labor the wage rate paid to workers depends on the demand for labor B the amount of labor demanded depends on the amount of capital invested the amount of labor demanded depends on the amount of capital invested C the amount of labor demanded depends on the demand for the firm's product the amount of labor demanded depends on the demand for the firm's product D the firm will benefit from hiring additional labor
Answer:
The correct answer is the option C: The amount of labor demanded depends on the demand for the firm's product.
Explanation:
To begin with, in the microeconomics theory we can find the answer to the question base upon the fact that the "derived demand" of labor is known like that because it will always depend on the amount of output that the company sells. Therefore that the amount of labor hired is derived from the amount of product sold. Understanding that if the company sells more of its product then it will hire more workers in order to increase the offer, according to basic supply laws. And that is why that obviously the demand ends up being dependent from the demand of the product itself.
16. Elvis is the owner of a furniture store in a small Southern town. He donated several hundred mattresses to the Red Cross immediately after hearing about the devastation caused in a neighboring state by a hurricane. He was motivated to do so by his desire to help others, by thoughts of the income tax deduction he could take, and by the recognition his store would receive from his act of charity. This is an example of
Current assets are illiquid.
True
False
Answer:
true
Explanation:
Answer:
ture
Explanation:
Illiquid refers to an asset that cannot be quickly converted to cash. Such assets suffer a valuation loss when sold in exchange for cash. In other words, it is an uphill task to sell such assets owing to the utterly low trading activity due to a lack of investor interest. Some examples of inherently illiquid assets include houses and other real estate, cars, antiques, private company interests and some types of debt instruments. Certain collectibles and art pieces are often illiquid assets as well.
Anneika Lafferty and her friend Bernie Williams started an Internet business 15 months ago selling affordable musical instruments for beginners. They named it A&B Musical Instruments. Because they live near each other, Bernie keeps the inventory in his garage and Anneika has the computer system, phones, and office space in her home. While the business has done well financially, it requires more time than either expected and affordable instruments for resale are not easy to find. They have decided to try to sell the business and create a different type of online business. A larger Internet music company wants to buy them but the $50,000 offered is not nearly what Anneika and Bernie expected, based on the company’s potential. They quickly reject the offer. The offer is based on last year’s balance sheet, shown below, and the income statement, which showed $175,000 in sales and $110,000 in expenses. Many of the expenditures were to get the business started.
Principles of Effective Management
Think Critically PLEASE COPY AND PASTE THE QUESTIONS BELOW IN YOUR TEXTBOX AND ANSWER IN RED FONT
On what basis did the potential buyer probably make the $50,000 offer? What did the buyer learn from the sellers’ rejection?
RED FONT
How might the working capital, current ratio, and return on sales have affected the offering price? Prepare the necessary calculations before answering.
RED FONT
Assume you wish to buy the company. What additional information would you want to gather from the sellers?
RED FONT
The potential buyer probably made the $50,000 offer based on the financial data available to them, which was last year's balance sheet and income statement.
The balance sheet shows the assets, liabilities, and equity of the company as of a specific date, while the income statement shows the company's revenue and expenses for a specific period. The buyer could have used this information to estimate the company's value, taking into account the company's sales, expenses, and assets.
What are the responses to other question?The working capital of A&B Musical Instruments can be calculated by subtracting the company's current liabilities from its current assets. A high working capital indicates that the company has sufficient resources to pay off its short-term debts, which could be attractive to potential buyers.
The current ratio is another financial metric that can indicate the company's ability to pay off its short-term debts. It is calculated by dividing the company's current assets by its current liabilities. A high current ratio generally suggests that the company is in good financial health. The return on sales (ROS) is calculated by dividing the company's net income by its total sales. A high ROS indicates that the company is generating a high profit margin, which can be an attractive feature for potential buyers.
If I wished to buy the company, I would want to gather more information about the company's future growth prospects, the demand for its products, and any potential challenges that it may face. I would also want to understand the company's marketing and sales strategies, as well as its supply chain and logistics operations.
Additionally, I would want to review the company's contracts, leases, and legal agreements, as well as its intellectual property and other assets.
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If your gross pay is $1500 each pay period, and you are paid semimonthly, what is your yearly gross pay?
Answer:
$39,000
Explanation:
Ideally, we'd know if every pay period is 2 weeks, but that's pretty standard. They say semimonthly because if you look at a calendar over a year, there are a couple of months where you will have 3 paychecks.
So. 52 weeks/year, divided into 2-week pay periods = 26 pay periods/year.
26 x 1,500 = 39,000
Please let me know if you have any questions about this.
Fiat money Select one: a. has no intrinsic value. b. is any close substitute for currency such as checkable deposits. c. is a medium of exchange but not a unit of account. d. is backed by gold.
Answer:
is a medium of exchange but not a unit of account
Identify each of the following costs, incurred monthly by Furman Flower Cart, as fixed, variable, or mixed. Bouquets Sold 3,000 5000 7,000 Balloons (10 per bouquet)$9,000 $ 15,000 $ 21,000 Insurance $ 7,500 $ 7,500 $ 7,500 Delivery $ 5,300 $ 8,300 $ 11,300 Employee compensation $ 11,000 $ 15,000 $ 19,000 Advertising $ 2,000 $ 2,000 $ 2,000 Balloons Insurance Delivery Employee compensation Advertising
Based on the provided information, the insurance and advertising costs are fixed cost. The price of balloons and delivery are variable cost. Employee compensation is a mixed cost.
Fixed costs refer to the type of costs that do not vary due to changes in sales or production volumes. These costs are not directly linked with manufacturing a product or delivering a service. Hence, fixed costs are considered to be indirect costs. Examples of fixed costs include rent costs, utility, insurance, salaries, loan repayments, etc. In the given case, insurance and advertising cost are fixed cost as it is constant in relation to sale volume.
On the other hand, variable costs refer to the type of costs that change based on the quantity of the good or service produced. Hence, if the sales or product volume changes, variable costs changes. The examples of variable costs include raw materials, piece-rate labor, delivery costs, commissions, packaging supplies, etc. In the given case, the price of balloons and delivery are variable cost as they change with volume of sale.
A mixed cost refers to the type of cost which contains both a fixed cost component and a variable cost component. Employee compensation is a mixed cost as it has a fixed cost component which is the base salary which does not change with sales volume and a variable cost component which is the commission which changes with sales volume.
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Nathan bought 200 shares of stock at $40 per share ($8,000 total). He paid $5,000 in cash and borrowed $3,000 from the brokerage firm. The loan has an annual interest rate of 6 percent.
Six months later, the stock’s current price is $38 per share. If Nathan sells now, he will pay a commission of $160 and will have to repay the loan. If he sells now, he will lose $ __.00
If Nathan sells now, after paying a commission of $160 and margin account interest of $90, he will lose $650.
What is buying on margin?Buying on margin is a situation when an investor buys an asset by borrowing the balance from the brokerage firm.
With buying on margin, the investor pays part of the investment cost while the remaining is met by the broker.
Data and Calculations:Cost of 200 shares at $40 per share = $8,000
Investor's cash = $5,000
Margin purchase = $3,000
Interest rate = 6%
Interest amount = $90 ($3,000 x 6% x 1/2)
Commission = $160
Total amount spent = $8,250 ($8,000 + $90 + $160)
Total amount realized from sale = $7,600 ($38 x 200)
Loss from sale = $650 ($7,600 - $8,250)
Thus, if Nathan sells now, after paying a commission of $160 and margin account interest of $90, he will lose $650.
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Place the stages of evolution of operations management in chronological order, with the oldest one listed first.
Place the stages of evolution of Operations Management in chronological order, with the oldest one listed first Human Relations Movement is the correct answer.
Operations managers must make their first decisions while planning. Managers make decisions about the where, when, and how of production at this point. They choose the locations of the sites and gather the required materials.
Job planning, scheduling, material management, capacity management, facilities management, and quality management are some of the main operations management tasks.
Operations and Supply Chain Management (OSCM) is a vast field that includes tasks including sourcing, materials management, operations planning, distribution, logistics, retail, demand forecasting, order fulfilment, and more. It covers both manufacturing and service industries.
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A person earns $40,000 per year. She deducts $2,000 for charitable donations. She also receives a $3,000 tax credit. What is the person's gross income
A person's annual income is $40,000. She subtracts $2,000 for donations to charity. If she is also given a $3,000 tax credit, her total income would be $38,000.
What is the tax credit?Tax credits are financial incentives that let some taxpayers deduct their accumulated credits from the total amount they repose on the state.
It can also be called as a “discount” that is offered by the state in some circumstances, or a credit given in recognition of prior tax payments. It is not considered as a part of person's income.
The person's gross income would be $38,000 ($40,000 – $2000), here, the Gross Income does not include the deduction, this is considered in the Net taxable income.
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The ________ approach to performance measurement was introduced as a way to evaluate organizational performance from more than just the financial perspective.
Answer:
c) balanced scorecard
Explanation:
The options for the question we are;
A) market value
B) economic value
C) balanced scorecard
D) financial control
c) balanced scorecard
A balanced scorecard can be regarded as a strategic management performance that is engaged in the improvements as well as identification of internal business functions as well as external outcomes that result from there. It is a tool that helps in returning feedback to an organization. It should be noted that balanced scorecard approach to performance measurement was introduced as a way to evaluate organizational performance from more than just the financial perspective.
Who sets the price in a monopolistic competition?
Producers and consumers
Consumers only
Government
Producers only
Answer:
Consumers and producers
Explanation:
so A on edg 2021
The Producers and consumers set the price in a monopolistic competition.
What is a monopolistic competition?This is a competition that occurs in the market place due to the fact that there are a lot of firms offering similar products that are not identical.
In this type of market the price setting is done by those that consume the products and the product makers.
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which of these generally represents the last channel member in a distribution channel ?
a.the producer
b.the wholesaler
c.the consumer
d.the retailer
it’s c; the consumer
The consumer is generally representing the last channel member in a distribution channel. This option C is correct.
What is the distribution channel?A distribution channel is defined as a route that a product or service might take to reach the market. With the help of the distribution channel, the corporation sells directly to the consumer, typically via their website or retail shop.
Wholesalers, retailers, distributors, and the Internet are examples of distribution channels. The manufacturer sells directly to the customer through a direct distribution channel.
Multiple intermediaries are involved in indirect routes before the product reaches the customer. One of the most popular and efficient distribution methods is the store. Department stores, Supermarkets, specialized stores, and big-box retailers are examples of retailers.
Therefore, option C is correct, that In general, the consumer represents the final channel member in a distribution channel.
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HELP PLEASE
Companies create a division of labor among employees in order to:
O A. reduce the opportunity cost for hiring new employees.
O B. make it easier to shift employees between different jobs.
O C. allow each employee to perform one task at a high level.
O D. gain access to more human and physical capital.
Answer:
D
Explanation:
companies do this so everyone is more proficient with their bodies and their work