Importance and stages in inventory/stock controlInventory management is an essential aspect of any business because it determines the amount of cash tied up in stocks and determines the supply chain's efficiency.
The stages in inventory/stock control are– this is the initial stage that determines the minimum and maximum levels of inventory to be maintained in the organization. Planning can be done based on sales history or future predictions.(ii) Acquisition - this is the stage where the business obtains stock from suppliers or produces stock.(iii) Storage - this is the stage where the business stores the inventory in the warehouse.
Which stock control model is appropriate for your company and why?The Economic Order Quantity (EOQ) model is the appropriate model for the company because it aims to minimize the total inventory cost, including ordering and holding costs. It helps to determine the optimal order quantity that minimizes the total inventory cost. Additionally, the model is easy to use and applicable for the company's dairy product business.
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joshua was having a difficult time meeting that improved schedules and budget what might be the most likely cause
Answer:
There was a lack of clarity and expectations in the original work plan goals.
Explanation:
When creating a work plan , expectations refers to a realistic set of goal that an organization hope to achieve after implementing the work plan into their operation.
Expectation is very important for the decision maker in determining a couple of things, such as;
- The time needed for the plan to show result. (which will influence things such as meting schedule, determining deadline, etc)
- The amount of resources and workhours that the company need to invest into the plan (which will influence the way budget is designed)
- The standard that should be use to measure company's performance.
Answer:
There was lack of clarity... is the answer
Explanation: I just got all of the answers right thats how i know
The HR department at Trevor Communications oversees the recruitment and training of employees at the firm.As the firm grows and recruits more employees,overseeing individual training programs has been come too much for HR staff to handle.Which of the following applications should the HR department use to help with employee training?A) A customer relationship management systemB) A management information systemC) A learning management systemD) A decision support systemE) An executive decision-making system
Answer:
C) A learning management system
Explanation:
Analyzing the above scenario, it is clear that the learning management system would be very useful to the HR department at Trevor Communications.
This system can be defined as a learning process that takes place in a virtual way, in an environment where each individual can access learning content in an interactive and dynamic way, by accessing a tool that contains the content and information necessary for specific learning.
This system confers several advantages to the organization, such as the elimination of personnel costs, greater ease of monitoring and follow-up, greater availability, ease of implementation and evaluation.
In the calculation of the CPI, teas is given greater weight than beer if
Item 2 The following data have been extracted from the records of Puzzle Incorporated: February August Production level, in units 9,600 20,160 Variable costs $ 27,840 $ ? Fixed costs ? 34,300 Mixed costs 25,984 ? Total costs $ 88,124 $ 142,930 Required: Calculate the missing costs. Calculate the cost formula for mixed cost using the high–low method. Calculate the total cost that would be incurred for the production of 13,824 units. Identify the two key cost behavior assumptions made in the calculation of your answer to part c. cost behavior pattern relevant range
The missing costs are:
Variable costs for August = $116,620.80Fixed costs for February = $34,300Mixed costs for August = $1,009.20The cost formula for the mixed costs is: Total cost = $36,176.80 + ($5.78 x Production level) + Mixed cost.
The two key cost behavior assumptions made in the calculation of the answer to part c are:
The assumption that the mixed costs are linear within the relevant range of production levels.The assumption that the variable cost per unit remains constant within the relevant range of production levels.How to Solve the Problem?To calculate the missing costs, we need to use the high-low method to separate the mixed costs into their fixed and variable components. The high-low method involves taking the highest and lowest production levels and their corresponding total costs and using them to calculate the variable cost per unit and the fixed cost.
Using the data given, we can find the missing costs as follows:
Variable costs for August:
Variable cost per unit = (Total cost at highest production level - Total cost at lowest production level) / (Highest production level - Lowest production level)
Variable cost per unit = ($142,930 - $88,124) / (20,160 - 9,600)
Variable cost per unit = $5.78
Variable costs for August = Variable cost per unit x August production level
Variable costs for August = $5.78 x 20,160
Variable costs for August = $116,620.80
Fixed costs for February:
Fixed costs = Total costs - (Variable costs + Mixed costs)
Fixed costs = $88,124 - ($27,840 + $25,984)
Fixed costs = $34,300
Mixed costs for August:
Mixed costs = Total costs - (Fixed costs + Variable costs)
Mixed costs = $142,930 - ($34,300 + $116,620.80)
Mixed costs = $1,009.20
Therefore, the missing costs are:
Variable costs for August = $116,620.80
Fixed costs for February = $34,300
Mixed costs for August = $1,009.20
Using the high-low method, we can calculate the cost formula for the mixed costs as follows:
Variable cost per unit = ($142,930 - $88,124) / (20,160 - 9,600)
Variable cost per unit = $5.78
Using the highest production level and its corresponding total cost, we can find the total fixed cost:
Total cost at highest production level = Fixed cost + (Variable cost per unit x Highest production level) + Mixed cost
$142,930 = Fixed cost + ($5.78 x 20,160) + $1,009.20
Fixed cost = $36,176.80
Therefore, the cost formula for the mixed costs is: Total cost = $36,176.80 + ($5.78 x Production level) + Mixed cost.
To calculate the total cost for the production of 13,824 units, we can use the cost formula for mixed costs:
Total cost = $36,176.80 + ($5.78 x 13,824) + $1,009.20
Total cost = $107,683.16
The two key cost behavior assumptions made in the calculation of the answer to part c are:
The assumption that the mixed costs are linear within the relevant range of production levels.
The assumption that the variable cost per unit remains constant within the relevant range of production levels.
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sum up how the department of Economic Development t and the DTI provide services that are useful to business
Department of Economic Development and the DTI provide services that are useful to business by providing financial support to qualifying companies in various sectors so as to bring about industrial competitiveness as well as inclusive participation in the economy.
What is the importance of Department of Economic Development ?The dti offers financial assistance to qualified businesses in a range of industries in order to boost industrial competitiveness and broaden economic participation. Manufacturing, export growth, market access, and foreign direct investment are among the sectors (FDI).
The DTI protects consumers through consumer education and information dissemination initiatives in addition to overseeing the efficient implementation and enforcement of trade regulation and fair trade laws. Consumer Alerts, Recommendations, and Advisories are among the informational resources that are frequently updated and provided.
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Why might some liabilities not be reported on the balance sheet? Why would a company look to have some liabilities not reported on its balance sheet?
These things are assets and liabilities of the company even though they don't show up on the balance sheet. Since there is no equity or debt attached to these goods, they are not required to be reported on the balance sheet.
By using off-balance-sheet financing, businesses can avoid reporting certain assets and obligations on their balance sheets. Financial statements can be shielded from asset ownership and associated debt by OBS assets.
This strategy aids businesses in maintaining low debt-to-equity and leverage ratios, which lower borrowing costs and avoid covenant breaches. Assets that don't show up on the balance sheet are known as off-balance sheet (OBS) assets.
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In the United States, there are various forms of economic oversight that are performed by the government. Sometimes the government will step in when they feel the need to encourage competition in a particular industry and to break up companies that have nearly complete control over a particular market. What is this called when the government initiates action against companies that appear to have too much power?
Antitrust laws initiate action against companies that appear to have too much power.
Antitrust laws are rules that promote competition by restricting a firm's ability to dominate the market. This frequently entails dismantling monopolistic enterprises as well as making sure mergers and acquisitions don't excessively concentrate market power.
Additionally, cartels or groups of companies working together to restrict competition through tactics like price fixing are prohibited by antitrust laws. Antitrust law has developed into distinct legal expertise as a result of the difficulty in determining what actions may restrict competition.
Federal antitrust laws are currently enforced by the Federal Trade Commission, often in cooperation with the Department of Justice.
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a company has net income of $90,000; its weighted-average common shares outstanding are 18,000. its dividend per share is $0.45, its market price per share is $88, and its book value per share is $76. its price-earnings ratio equals: group of answer choices 15.2. 17.6. 9.0. 12.5. 16.9.
The company has a price-earnings (P/E) ratio of 17.6. Option B.
To calculate the price-earnings (P/E) ratio, we need to divide the market price per share by the earnings per share (EPS). The EPS is calculated by dividing the net income by the weighted-average common shares outstanding.
Net income: $90,000
Weighted-average common shares outstanding: 18,000
EPS = Net income / Weighted-average common shares outstanding
EPS = $90,000 / 18,000
EPS = $5
Now, let's calculate the P/E ratio.
Market price per share: $88
EPS: $5
P/E ratio = Market price per share / EPS
P/E ratio = $88 / $5
P/E ratio = 17.6
Therefore, the P/E ratio for the company is 17.6.
The P/E ratio is a valuation ratio that indicates the price investors are willing to pay for each dollar of earnings generated by the company.
A higher P/E ratio suggests that investors have higher expectations for future earnings growth, while a lower P/E ratio indicates lower growth expectations or potential undervaluation.
In this case, the P/E ratio of 17.6 implies that investors are willing to pay 17.6 times the company's earnings per share (EPS) to own the stock. This could be an indication that investors have relatively high expectations for the company's future earnings growth or consider the stock to be relatively expensive compared to its current earnings. Opyion B is correct.
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amazon and orbitz are both part of blank______ marketing channels.
Both Orbitz and Amazon are Internet marketing channels.
How does Amazon work as a medium for marketing?Amazon uses a variety of traditional marketing strategies, including print and online advertising, to promote its products. The company also conducts product placement, pay-per-click (PPC) ads, and sales promotions.
What kinds of Internet marketing are there?Internet marketing is the practice of promoting a business, its goods or services online in order to generate more leads, visitors, and sales. Digital and online media are used in online marketing, also known as digital marketing, to disseminate marketing materials and advertisements. The terms online marketing, internet marketing, and web marketing are also used to refer to digital marketing. More individuals are becoming acquainted with the term "digital marketing."
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If Smolinski, Incorporated, were an all-equity company, it would have a beta of 1.05. The company has a target debt-equity ratio of .40. The expected return on the market portfolio is 11 percent and Treasury bills currently yield 3.5 percent. The company has one bond issue outstanding that matures in 13 years, has a coupon rate of 5.6 percent, and makes semiannual payments. The bond currently sells for $1,060. The corporate tax rate is 21 percent.
a. What is the company’s cost of debt? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
b. What is the company’s cost of equity? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
c. What is the company’s weighted average cost of capital? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
The company’s weighted average cost of capital is 8.09%. The formula to calculate the cost of debt is:\($$r_d=r_f+DRP+LP$$\)
Where,
\($$r_f= 3.5\%$$\) is the current risk-free rate,$$
DRP=5.6\(\%−3.5\%=2.1\%$$\)is the default risk premium for a company with a bond rating of B, and$$
LP=0\%$$ because Smolinski, Incorporated doesn't have any liquidity risk.
To find out the cost of debt, plug in the values:
\($$r_d=3.5\%+2.1\%=5.6\%$$\)
So, the company's cost of debt is 5.6%.
b) The formula to calculate the cost of equity is:
$$r_e=r_f+β(r_m−r_f)$$
Where,\($$r_f= 3.5\%$$\) is the current risk-free rate,\($$\beta=1.05$$\) is the beta of the company,\($$r_m=11\%$$\) is the expected return on the market portfolio.
To find out the cost of equity, plug in the values:
\($$r_e=3.5\%+1.05(11\%-3.5\%)=10.43\%$$\)
So, the company's cost of equity is 10.43%. Where,E= Equity D= Debt
\(V= Total Value= E+D$$$$r_e= Cost of Equity$$ $$r_d= Cost of Debt$$$$T_c= Tax Rate=21\%$$\)
Therefore, the company’s weighted average cost of capital is 8.09%.
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During the year just​ ended, Shering​ Distributors, Inc., had pretax earnings from operations of . In​ addition, during the year it received in income from interest on bonds it held in Zig Manufacturing and received in income from dividends on its common stock holding in Tank​ Industries, Inc. Shering is in the tax bracket and is eligible for a dividend exclusion on its Tank Industries stock. a. Calculate the​ firm's tax on its operating earnings only. b. Find the tax and the​ after-tax amount attributable to the interest income from Zig Manufacturing bonds. c. Find the tax and the​ after-tax amount attributable to the dividend income from the Tank​ Industries, Inc., common stock. d.​ Compare, contrast, and discuss the​ after-tax amounts resulting from the interest income and dividend income calculated in parts b. and c. e. What is the​ firm's total tax liability for the​ year?
Total tax liability for the year is the sum of taxes on operating earnings, interest income, and dividend income = $22,236 + $1,258 + $265 = $23,759.
a. Calculation of the firm's tax on its operating earnings only is as follows: Pretax earnings = $65,400Tax bracket
= 0.34 Tax on operating earnings
= $65,400 x 0.34
= $22,236b. Calculation of the tax and the after-tax amount attributable to the interest income from Zig Manufacturing bonds: Interest income = $3,700Tax bracket
= 0.34Tax on interest income
= $3,700 x 0.34
= $1,258 After-tax amount attributable to the interest income
= $3,700 - $1,258
= $2,442c. Calculation of the tax and the after-tax amount attributable to the dividend income from the Tank Industries, Inc., common stock: Dividend income = $2,600 Dividend exclusion
= 0.7 Taxable dividend income
= $2,600 - (0.7 x $2,600)
= $780 Tax bracket
= 0.34 Tax on dividend income
= $780 x 0.34
= $265 After-tax amount attributable to the dividend income
= $2,600 - $265
= $2,335d.
The after-tax amounts resulting from the interest income and dividend income calculated in parts b. and c. are not significantly different. After-tax amount attributable to interest income is $2,442 while that attributable to dividend income is $2,335.e. Total tax liability for the year is the sum of taxes on operating earnings, interest income, and dividend income = $22,236 + $1,258 + $265 = $23,759.
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T/F Ideally, permanent current assets should be financed exclusively with short term borrowings.
False. Ideally, permanent current assets should be financed with long-term or permanent sources of financing. Permanent current assets are assets that a company needs to operate its business, such as inventory, accounts receivable, and fixed assets.
These assets are expected to be held for a long time and are not likely to be converted into cash quickly. As such, they require a more stable and predictable source of financing. Short-term borrowings, on the other hand, are usually used to finance temporary or seasonal needs and are not suitable for financing permanent current assets. Short-term borrowings come with higher interest rates and must be repaid within a year, which can create cash flow problems for the company if it is unable to generate sufficient cash to repay the loan.
Financing permanent current assets with long-term or permanent sources of financing, such as equity, bonds, or loans, provides a more stable and predictable source of funding. These sources of financing are less risky and come with lower interest rates, which can help reduce the overall cost of financing for the company.
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Why should a society be careful in using its natural resources
Answer:
... because natural resources are limited in quantity, and once they are depleted, they are gone forever.
Explanation:
The opposite of 'always' is
(i)
(ii) never
ever
(iii) frequent (iv) often
Ans.
the opposite of always is
never ever
100 POINTS PLEASE HELP!!! Designers consider both elements and principles of design when creating advertisement layouts. Research one element of design and one principle of design. Write a 5- to 10-sentence paragraph explaining how each might be used during the creation of an ad.
Answer:
Designers could use size in order to bring the most important aspects such as the message or product to the eye of those viewing the ad. Designers could also use color in order to showcase the most important products vs those apart of a collection. Designers could use harmony to bring the ad together and make it all seem as if it is one piece. Variety could also show that the designers have many different things to offer to the public.
Explanation:
Sorry, I tried my best, idk if this is what you are looking for?
Element of Design: One element of design that is used is value, which helps create shading texture when needed. This can help a substance seem "popped-out", and can be used to catch people's attentions. Design is important also in creating what can be seen by the naked eye, and what is placed on there can draw different people into seeing the product in their own eyes. Appearance can be appealing or even unappealing, in getting people to be interested & even talk about the design. Designers design something that is either aesthetically pleasing, or would catch a person's attention, and hopefully spread the word around. Examples of value can be shading, different shades of the same color, etc.
Principle of Design: One principle of design is harmony, which can make it feel wholesome or pleasing the a person. This is a very good way to draw people (especially a sect commonly known as perfectionists) to buy the product. The opposite can also be said, as the distortion can also draw people to buy the product. As long as the design appeals to potential buyers, it is worthwhile to use.
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in the bcg matrix, profits from _____ should not be invested back into that category because the industries in it have bleak prospects.
In the BCG (Boston Consulting Group) matrix, profits from "Dogs" should not be invested back into that category because the industries in it have bleak prospects.
The BCG matrix is a strategic tool used to evaluate and analyze a company's portfolio of products or business units. It categorizes them into four quadrants based on their market growth rate and relative market share. The four quadrants are:
Stars: High market growth rate and high relative market share.
Cash Cows: Low market growth rate and high relative market share.
Question Marks (or Problem Children): High market growth rate and low relative market share.
Dogs: Low market growth rate and low relative market share.
"Dogs" represent products or business units with low market growth and low market share. These industries are typically mature and have limited growth potential. They generate minimal profits or may even incur losses. Therefore, reinvesting profits back into "Dogs" is not recommended as the industries in this category have bleak prospects.
Instead, companies often focus their investments on "Stars" and "Question Marks" to maximize growth and market share. "Stars" have high growth potential and should receive investment to maintain and strengthen their market position. "Question Marks" have high growth potential but low market share, so they require strategic investments to determine if they can become future "Stars" or should be divested.
The BCG matrix helps companies allocate resources effectively and make informed decisions about which products or business units to invest in, divest, or maintain. By recognizing the limited prospects of industries categorized as "Dogs," companies can avoid allocating resources where there is little potential for future growth or profitability.
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In JoJo's Bizarre Adventure, Does Jotaro Kujo get his stand, Star Platinum, back?
It is a false statement that Jotaro Kujo get his Stand Disk "Star Platinum" back.
What is the JoJo's Bizarre Adventure about?In the Adventure, the Star Platinum is a humanoid Stand that resembes a tall and well-built man of similar proportions to Jotaro.
In the colored art, its skin is often a hue between purple, blue, green, and small bits of gold. Its face and body have varying colors.
In the story, after the loss of the Star Platinum, Jolyne finally retrieves Jotaro's Stand Disk but delivers it to the Pigeon named Savage Guardian in episode 12 of the story.
Therefore, It is a false statement that Jotaro Kujo get his Stand Disk "Star Platinum" back.
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Answer:
yes
Explanation:
Which form tells you how much you were paid by a company of which you are NOT an employee and often contains income that did NOT have taxes withheld?
What's included in a total product offer?
A total product offer is made up of all the factors consumers consider before making a purchasing decision.
Consumers are individuals or groups who do not actively engage in entrepreneurial or business operations but who intend to order or use acquired goods, services, or products primarily for personal, social, family, or household requirements. A person who buys products and services for personal consumption is most frequently referred to by the word. In his statement presented to the US Congress on March 15, 1962, President John F. Kennedy stated that "consumers, by definition, include us all." World Consumer Rights Day, presently observed on March 15, was founded on the principles of this speech. John Fitzgerald Kennedy spoke about how it is the duty of each government to assist in the exercise of the rights of the consumer.
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Find the final discount date and the net payment date for an invoice dated June 14 with terms of 3/10, net 20.
The final discount date is
(Type whole numbers.)
According to the given data, the final discount date is June 24 and the net payment date is July 4.
What do you mean by final discount date?Discount date is the date that comes ten (10) days after the bill's due date, unless another date is specified in the contract. The discount date is the final day that net rates can be applied to water and/or sewer charges.
The time frame during which an invoice must be fully paid in order to receive a reduction in the amount owed is known as the discount period.
Here,
Calculation of the final discount date:
Final discount date = June 14 + 10 days
Final discount date = June 24
Calculation of Net payment date:
Net payment date = June 14 + 20 days
Net Payment date = July 4
Therefore, through the data, the final discount date is June 24 and the net payment date is July 4.
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True or false: All final purchases of plant, machinery, and equipment in a given time period are included as gross investment.
Answer:
mira eso es muy fácil yo me lo sé pero no es de consultar en el internet as lo con tu mente que facil
Which Energy Generation careers are expected to have a decline in jobs between 2010 and 2020? Check all that
apply.
Surveyors
Solar Energy Installation Managers
Nuclear Power Reactor Operators
Power Plant Operators
Mine Shuttle Car Operators
Answer: Power Plant Operators, and Mine Shuttle Car Operators
Answer:
d and e
Explanation:
hope this helps
Answer:
d,e
Explanation:
This is a grade 12 college level
math course and this is a Morgages, Budget, and Annuities unit
test
12 5 Knowledge: 1. Identify whether each of the following statements is TRUE or FALSE. Circle the correct answer. [5 marks] TRUE FALSE a) Conventional mortgages require mortgage insurance TRUE FALSE b
a)Conventional mortgages require mortgage insurance is FALSE
b) Only people who are living paycheck to paycheck should have a budget is FALSE.
Conventional mortgages: Conventional mortgages are home loans not offered by the government. They are, instead, backed by private lenders. The majority of these home loans require a down payment of 20% or less. If the down payment is less than 20 percent, a borrower may be required to pay mortgage insurance.
Budget: A budget is a plan for allocating financial resources. It includes revenue forecasts, estimates of expenditures, and the amount of money that will be saved or invested. Annuities: An annuity is an investment product that guarantees regular payments for a specified period. They're mainly used to create a steady stream of income throughout retirement.
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Bill is a retired military officer suffering from complications caused by Agent Orange exposure during his military service. He incurs $54, 510 in medical expenses during hospitalization at the local Veterans Administration Hospital. The private health insurance he now owns will likely pay:
Answer: nothing
Explanation:
Military officers are usually entitled to group life insurance which is covered by a comprehensive healthcare plan.
In this case, since Bill is a retired military officer that's suffering from complications that was caused by Agent Orange exposure during his military service, then the private insurance he owns will pay nothing because the complications were gotten during his military work me should be taken care of by the government.
outline 2 advantages to H&H of using secondary market research
A student needs to take a test. She has her paper, pencil, eraser, and a backup pencil.
What is she missing to take the test?
Answer:
A drink
Explanation:
Checking account A charges a monthly service fee of $20 and a wire transfer
fee of $3, while checking account B charges a monthly service fee of $30 and
a wire transfer fee of $2. How many transfers would a person have to have for
the two accounts to cost the same?
OA. 31
OB. 21
O C. 10
OD. O
If Checking account A charges a monthly service fee of $20 and a wire transfer fee of $3. The transfers that a person have to have for the two accounts to cost the same is : C. 10.
What is the transfer cost?Let x represent the number of wire transfers
Checking account A cost
Cost of Account A = monthly fee + $3x wire transfer fee
Cost of Account A = $20) + $3x )
Checking account B
Cost of Account B = monthly fee+ $2x wire transfer fee
Cost of Account B = $30 + $2x
So,
Let set two expressions equal to each other:
$20 + $3x = $30 + $2x
Simplifying this equation
$x =$10
Therefore the correct option is C.
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You want to compare the batting average of all the players on the league's baseball teams. Which type of chart would be best for this purpose? a.Pie b.Bar c.Line d.Column
Answer: B.) Bar
Explanation: When trying to compare batting average of all players on the leagues baseball team, the batting average of the players in each team is measured and the data grouped by team. When measuring changes, differences or comparison, the bar chart and line chart seems to be the best for such purposes. However, depending on whether the changes in measured data is large or small, the bar chart seems best suited in cases where large differences exists, while line graphs are better when small differences exist between measure data.
Answer:
B.) Bar
Explanation:
which of the following is not one of the primary sectors of the construction industry?? a. health care construction b. commercial building c. heavy civil construction d. industrial construction
The correct answer is A. Health Care Construction. Health Care Construction is not one of the primary sectors of the construction industry.
The primary sectors of the construction industry are commercial building, heavy civil construction, and industrial construction. Commercial building includes the construction of office buildings, stores, restaurants, and other non-residential structures.
Heavy civil construction includes roadways, bridges, tunnels, and other large-scale infrastructure projects. Industrial construction includes the construction of factories, power plants, refineries, and other large industrial buildings.
Health Care Construction includes the construction of hospitals, medical offices, and other health care facilities.
Overall, the primary sectors of the construction industry are commercial building, heavy civil construction, and industrial construction. Health Care Construction is not one of the primary sectors of the construction industry.
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In addition to saving money, what are some other ways you can show financial responsibility?
Answer:
you could start a savings a acount or a 401k plan to help with future problems or you could save for a new car.
Explanation: