The most influential combination of tools at the comprehension stage of buyer readiness is Advertising and personal selling. So, option B) is correct.
Based on the stages of buyer readiness, the comprehension stage is where the buyer begins to understand the benefits and features of the product or service. Therefore, the most influential tools at this stage would be those that provide information and answer any questions the buyer may have. 
Out of the options provided, the combination of advertising and personal selling would be the most influential at the comprehension stage of buyer readiness. 
Advertising can provide general information and create awareness, while personal selling allows for a more personalized approach and the opportunity for the buyer to ask questions and receive specific information about the product or service. 
While sales promotion and publicity may also be effective at this stage, they may not provide as much in-depth information as advertising and personal selling. Reminder advertising may also be effective, but it is more useful in the later stages of buyer readiness when the buyer is already familiar with the product or service.
This is because advertising helps create awareness and deliver information about the product or service, while personal selling allows for direct interaction with potential customers to address their questions and concerns, helping them understand the benefits and value of the product.
So, option B) is correct.
Learn more about advertising:
https://brainly.com/question/14227079
#SPJ11
the receiving department has three activities: unloading, counting goods, and inspecting. unloading uses a forklift that is leased for $20,500 per year. the forklift is used only for unloading. the fuel for the forklift is $4,500 per year. other operating costs (maintenance) for the forklift total $1,750 per year. inspection uses some special testing equipment that has depreciation of $2,500 per year and an operating cost of $1,750. receiving has three employees who have an average salary of $30,000 per year. the work distribution matrix for the receiving personnel is as follows: activity percentage of time on each activity unloading 40% counting 25% inspecting 35% no other resources are used for these activities. required: 1. calculate the cost of each activity. line item description amount unloading $fill in the blank 1 counting $fill in the blank 2 inspecting $fill in the blank 3 2. explain the two methods used to assign costs to activities. when the resource is used only by one activity, then fill in the blank 1 of 2 is possible. when the activities are shared, as in the case of labor, then fill in the blank 2 of 2 must be used.
The cost of each activity is $26,750, $7,500 and $4,250. Activity-based costing assigns the costs of resources to activities based on the amount of resources used by the activity.
Unloading: $20,500 + $4,500 + $1,750 = $26,750
Counting: $30,000 x 25% = $7,500 
Inspecting: $2,500 + $1,750 = $4,250
When the resource is used only by one activity, then direct allocation is possible. When the activities are shared, as in the case of labor, then activity-based costing must be used. 
Activity-based costing assigns the costs of resources to activities based on the amount of resources used by the activity.
In this example, the labor costs are distributed based on the percentage of time spent on each activity (e.g. 40% for unloading, 25% for counting, 35% for inspecting).
To learn more about activity-based, refer below:
https://brainly.com/question/17076430#
#SPJ11
you are meeting with a new buyer. they walk into your office in jeans and a flannel shirt. you saw them pull up in an old pickup truck. they say they want to purchase a home in the $500,000 to $650,000 range. what is the best response?
"Great! Within this price range, we include a number of lovely houses advertised.
Now let us go over this mortgages spreadsheet in order to provide you periodically re to ensure that when we uncover users the dream home, we could make a persuasive proposal."
The Real Estate Recovery Fund was established to safeguard individuals who suffered losses during real estate transactions.
An operating expense for a labour union is included in the licensee's own financial limit.
Choose a topic that you seem to be acquainted and comfortable ease writing about during the process of creating the key demographic description.
What does not constitute a waiver of the Do-Not-Call regulations?
As long as your firm title and contact are blocked, you may call.
To know more about mortgages click here
brainly.com/question/20715254
#SPJ4
What are scarce resources 
Answer:
Scarce resources are resources that are in limited availability.
Explanation:
Hope this helped:)
Answer:
Limited Goods or goods that are running out
Explanation:
Economic Definition of scarce resource. Defined. Scarce goods are also termed economic goods. Scarce resources are used to produce scarce goods. Like the more general society-wide condition of scarcity, a given resource is scarce because it has a limited availability in combination with a greater productive use.
"Which of the following would indicate an improvement in a company's financial position, holding other things constant?
a The ROE increased.
b The DSO increased.
c The current and quick ratio both decreased."
The term 'financial position' refers to an organization's capability to meet its debt obligations while simultaneously investing in growth opportunities. The financial statement analysis enables the assessment of an organization's financial health.
An improvement in a company's financial position is indicated by the fact that other things remain unchanged. Of the options given, the answer is (a) the ROE increased. This is due to the fact that the return on equity ratio is one of the most vital profitability indicators for investors. ROE represents the ratio of net income to shareholder equity, which is an essential indicator of a firm's financial stability and efficiency.
The increased ROE indicates that the company's net income has increased, and it is generating more revenue per unit of shareholder equity. Because the organization is creating greater profits, the stakeholders' trust and confidence in the company have improved, and the business's overall financial health has improved. The current ratio and the quick ratio decreased.
The DSO increasing could indicate that the company is taking longer to collect payments from its customers, indicating that its cash flow situation is deteriorating.
To know more about obligations visit :
https://brainly.com/question/32907342
#SPJ11
A small team of wildlife researchers is working on a project that uses motion-activated field cameras to capture images of animals at study sites. the team is considering using a ""citizen science"" approach to analyze the images. which of the following best explains why such an approach is considered useful for this project?
A small group of wildlife researchers is engaged in a project that use field cameras with motion detection to photograph animals at research locations. The team is thinking about analysing the photographs using "citizen science." The image analysis is likely to take a longer time for the research team than for a distributed group of individuals.
When communities and individuals propose a research issue and conduct scientific experiments without involving many professional scientists, this approach is known as citizen science. Contributory, collaborative, and co-created are the three major terms used to define citizen scientific engagement.
Our capacity to research and preserve ecosystems would be enhanced by having precise, thorough, and current information regarding the whereabouts and behaviour of animals in the wild. We look into the possibility of automatically, precisely, and affordably gathering such data, which may assist spur the development of "big data" sciences from various areas of ecology, wildlife biology, zoology, conservation biology, and animal behaviour. Motion-sensor "camera traps" make it possible to take regular, discreet, and cheap photos of wildlife. However, collecting information manually from these images still costs money and takes a lot of time. We show that deep learning, a cutting-edge type of artificial intelligence, can automatically extract this information. To recognise, count, and describe the behaviours of 48 species in the 3.2 million-image Snapshot Serengeti dataset, we train deep convolutional neural networks.
To know more about citizen science, click the below link
https://brainly.com/question/28460457
#SPJ4
assume+that+an+investment+provides+the+following+cash+inflows+over+a+three-year+period:+assuming+a+discount+rate+of+14%,+what+is+the+present+value+of+these+cash+inflows?
The present value of the cash in-flows over the three-year period, assuming a discount rate of 14%, is approximately $17,371.31.
To calculate the present value of cash inflows, we use the formula for the present value of a cash flow stream:
PV = CF1 / (1+r)^1 + CF2 / (1+r)^2 + CF3 / (1+r)^3
Where:
PV = Present value
CF1, CF2, CF3 = Cash inflows in each period
r = Discount rate
Let's assume the cash inflows are as follows:
Year 1: $5,000
Year 2: $7,000
Year 3: $10,000
Discount rate (r) = 14%
Now we can substitute the values into the formula and calculate the present value:
PV = $5,000 / (1+0.14)^1 + $7,000 / (1+0.14)^2 + $10,000 / (1+0.14)^3
PV = $5,000 / 1.14 + $7,000 / 1.14^2 + $10,000 / 1.14^3
PV = $4,385.96 + $5,670.10 + $7,315.25
PV ≈ $17,371.31
Therefore, the present value of the cash inflows over the three-year period, assuming a discount rate of 14%, is approximately $17,371.31.
To learn more about, cash in-flows, click here, https://brainly.com/question/28238360
#SPJ11
 Following the adoption of the Cadbury Code of Best practice joint CEO/COB positions declined
A) from 27 percent of the companies before the adoption to 15 percent afterwards.
B) from 37 percent of the companies before the adoption to 15 percent afterwards.
C) from 47 percent of the companies before the adoption to 15 percent afterwards.
D) from 57 percent of the companies before the adoption to 15 percent afterwards.
D) from 57 percent of the companies before the adoption to 15 percent afterwards.
The adoption of the Cadbury Code of Best Practice led to a decline in joint CEO/COB positions within companies. Before the adoption, 57 percent of the companies had joint CEO/COB positions. However, after the adoption, this number decreased to 15 percent.
This indicates a significant decrease of 42 percentage points in the prevalence of joint CEO/COB positions following the implementation of the Cadbury Code of Best Practice. The Cadbury Code of Best Practice, also known as the Cadbury Report, was a set of corporate governance principles introduced in the UK in 1992. It aimed to enhance transparency, accountability, and integrity in corporate governance practices.
One of the key recommendations of the Cadbury Report was the separation of the roles of Chief Executive Officer (CEO) and Chairman of the Board (COB) within companies. The report suggested that combining these two positions could lead to a concentration of power and hinder effective corporate governance.
After the adoption of the Cadbury Code, companies began to implement the recommendation of separating the CEO and COB roles. As a result, the prevalence of joint CEO/COB positions declined.
According to the given options, the decline in joint CEO/COB positions was from 57 percent of the companies before the adoption to 15 percent afterwards (option D). This indicates a significant shift in corporate governance practices, with a substantial decrease in the number of companies maintaining joint CEO/COB positions.
The decline from 57 percent to 15 percent suggests that a majority of companies embraced the recommendation of the Cadbury Code and moved towards a separation of the CEO and COB roles to improve corporate governance structures and practices. This change aimed to ensure a more balanced distribution of power and clearer lines of accountability within organizations .
Learn more about organizations here:
https://brainly.com/question/16296324
#SPJ11
what is a claim about homelessness ?
Answer:
1. lack of affordable housing 2.unemployment 3.poverty 4.mental illness 5. substance abuse
Explanation:
Answer:
homelessness people are usaully people who don't have homes and who roam the streets, although people who have homes do the same, the real homeless people do not have money.
The annual percentage rate (APR) is equivalent to the stated rate of interest when the _____ is used to calculate finance charges.a. dollar cost of credit methodb. discount methodc. average loan balance methodd. double declining balance methode. simple interest method
The annual percentage rate (APR) is equivalent to the stated rate of interest when the "dollar cost of credit method" is used to calculate finance charges. So, the correct answer is: e. simple interest method.
Credit Card APR means that the credit card Annual Percent Rate, it is grounded APR on the prime rate which means the variable interest rate is the one which changes grounded on the another rate of interest. For example, APR on the credit card could be the prime rate plus 13%, this is the interest rate on the issuer credit card charges on top of the prime rate. And the APR also based on the credit history of the person.
Learn more about APR here: brainly.com/question/27579597
#SPJ11
Prompt
What is liability?
Read More >>
Answer:
jobless
Explanation:
someone who depend on other people
how does credit utilization affect your credit score?
the organization that establishes manufacturing standards for copper tubing is
The organization that establishes manufacturing standards for copper tubing is ASTM International (formerly known as the American Society for Testing and Materials).
The ASTM has developed a set of standards that cover various aspects of the manufacturing, testing, and performance of copper tubing, including dimensional tolerances, chemical composition, mechanical properties, and corrosion resistance.
These standards ensure that copper tubing products are manufactured to consistent quality and performance standards, which helps to promote safety, reliability, and interoperability in various applications, such as plumbing, heating, cooling, and refrigeration.
To learn more about “ASTM” refer to the https://brainly.com/question/30896449
#SPJ11
Of every 500,000 jobs in the U.S., the approximate number of those through international firms are _____.
Answer:
90,000
Explanation:
Emily's grandmother bought her a treasury bond in 2020. When will it reach its maturity date?
Α.
2030
B.
2040
C. 
2045
D
2050
Answer:
The correct answer is: D. 2050
Explanation:
Answer: 2050
Explanation: Treasury bonds are sold in $1,000 increments and have a 30-year maturity date.
Thus, 2020 + 30 years = 2050
Which statement best summarizes the law of demand ?
A. Sellers only supply goods that are in high demand from buyers. 
B. Buyers are more likely to buy a products that is supplied in large quantities.
C. Sellers can easily substitute a product in high demand with another product. 
S. Buyers are more interested in purchasing products as those products decline in price.
Answer:
The answer is D
Explanation:
Answer: Hey guys guess what it's D lol have a good day
Explanation:
Investors minimize risk by investing money in __________. A. one specific company B. a variety of companies C. newly-formed corporations D. companies that are competitors Please select the best answer from the choices provided A B C D
Answer: B. a variety of companies
Explanation:
Investors minimize risk by investing money in a variety of companies. The reason for this is to minimize risk. Investing in one specific company isn't ideal because in the case of the company running at a loss, the investor loses all his or her money as well.
On the other hand, when the investor invest in different companies, the risk is minimized. When one company isn't doing well, others will probably be doing well.
$19,297 is invested, part at 13% and the rest at 8%. If the interest earned from the amount invested at 13% exceeds the interest earned from the amount invested at 8% by $777.58, how much is invested at each rate? (Round to two decimal places if necessary.)
Amount invested at 13%?
Amount invested at 8%?
Amount invested at 13%: $9,120.29
Amount invested at 8%: $10,176.71
Let's assume the amount invested at 13% is x dollars. The amount invested at 8% would then be (19,297 - x) dollars.
The interest earned from the amount invested at 13% is given by: 0.13x
The interest earned from the amount invested at 8% is given by: 0.08(19,297 - x)
According to the given information, the interest earned from the amount invested at 13% exceeds the interest earned from the amount invested at 8% by $777.58. Therefore, we can set up the following equation:
0.13x - 0.08(19,297 - x) = 777.58
Simplifying the equation:
0.13x - 0.08 * 19,297 + 0.08x = 777.58
0.21x - 1,543.76 = 777.58
0.21x = 2,321.34
x = 2,321.34 / 0.21
x ≈ $11,005.90
So, the amount invested at 13% is approximately $11,005.90. To find the amount invested at 8%, we subtract this value from the total amount invested:
Amount invested at 8% = 19,297 - 11,005.90 ≈ $8,291.10
The amount invested at 13% is approximately $11,005.90, and the amount invested at 8% is approximately $8,291.10.
To know more about Amount invested, visit;
https://brainly.com/question/29068812
#SPJ11
The entry to record depreciation includes a credit to the ______ Account. A) Depreciation Payable B) Cash C) Accumulated Depreciation D) Depreciation Expense.
The entry to record depreciation includes credit to the "Accumulated Depreciation" Account. The correct answer is: C.
Depreciation is the decrease in the value of an asset over time. As a result, the value of assets is not only affected by their usage, but also by the passage of time. The cost of an asset is distributed over its useful life, reflecting the reduction in value that occurs over time. To properly record depreciation, an accountant will debit Depreciation Expense and credit Accumulated Depreciation. This transaction is accomplished at the end of each accounting period so that the income statement reflects the current year’s expenses and the balance sheet reflects the total amount of accumulated depreciation to date.
When preparing the adjusting entry to record depreciation, an accountant will debit Depreciation Expense and credit Accumulated Depreciation. The Depreciation Expense account appears on the income statement, while the Accumulated Depreciation account appears on the balance sheet as a contra-asset account. A contra-asset account is a balance sheet account that offsets the original cost of an asset. The contra-asset account Accumulated Depreciation reflects the total amount of depreciation expense that has been recorded for an asset since it was purchased. As a result, the Accumulated Depreciation account decreases the value of the asset that it offsets.
Thus, the correct answer is (C).
You can learn more about depreciation at
https://brainly.com/question/1203926
#SPJ11
What happens to plant assets that are worn out or outdated?
Plant assets that are worn out or outdated are typically disposed of or replaced. Depending on the condition of the asset, it may be sold, scrapped, or otherwise disposed of.
The proceeds from the sale of the asset may be used to partially offset the cost of a replacement asset.
In some cases, plant assets may be upgraded or refurbished in order to extend their useful life or improve their productivity. This may involve replacing certain components or subsystems of the asset, or making modifications to the asset to improve its performance.
The disposal or replacement of plant assets is typically recorded in the company's accounting records, and may have an impact on the company's financial statements. For example, if an asset is sold for more than its book value, the company may record a gain on the sale in its income statement. Conversely, if an asset is sold for less than its book value, the company may record a loss on the sale. The cost of a replacement asset is typically capitalized and depreciated over its useful life.
Learn more about replacement here:
https://brainly.com/question/20721610
#SPJ11
You are the American Red Cross liaison in the Emergency Operation Center and you print up a list of the location of materials necessary to outfit the shelters. Materials stored in both facilities are adequate to meet the initial needs. Both the College and the Middle School are implementing their respective plans and are establishing necessary staffing to support the shelter requirements.
What NIMS Management Characteristic is being demonstrated?
Modular Organization
Comprehensive Resource Management
Establishment and Transfer of Command
Dispatch/Deployment
Answer:
comprehensive resource
Explanation:
What is one result of competition in a free-market economy?
A. Businesses control the price that all the companies within an
industry can charge.
B. Consumers can choose which company's products they want to
buy.
C. The government decides who is allowed to compete in the market.
D. Traditional values determine who will compete in the market.
can someone help me with this please.
Answer:
sure
Explanation:
no image
your client deposits $1,000.00 in a fund that generates a return of 3.52% over the first 2 years and a return of 4.25% over the following 4 years. your client makes no additional deposits or withdrawals out of the fund. calculate the total amount in your client's fund at the end of 6 years.
Assuming that the interest is compounded annually, the total amount in the client's fund at the end of 6 years can be calculated using the formula for compound interest. The interest rate for the first 2 years is 3.52%, which translates to a factor of 1 + 0.0352 = 1.0352. The interest rate for the next 4 years is 4.25%, which translates to a factor of 1 + 0.0425 = 1.0425. 
Using these factors and the initial deposit of $1,000, we can calculate the total amount in the fund at the end of 6 years:
Total amount = $1,000 x 1.0352^2 x 1.0425^4 = $1,181.83
Therefore, the total amount in the client's fund at the end of 6 years is $1,181.83.
 To calculate the total amount in your client's fund at the end of 6 years, we will use the compound interest formula: 
A = P(1 + r/n)^(nt)
Where:
A = the future value of the investment
P = the initial principal (amount deposited)
r = the annual interest rate (as a decimal)
n = the number of times interest is compounded per year
t = the number of years
First, calculate the future value for the initial 2 years with a 3.52% return:
P = $1,000
r = 0.0352
n = 1 (assuming yearly compounding)
t = 2
A = 1000(1 + 0.0352/1)^(1*2) = $1,072.51
Next, calculate the future value for the following 4 years with a 4.25% return using the new principal:
P = $1,072.51
r = 0.0425
t = 4
A = 1072.51(1 + 0.0425/1)^(1*4) = $1,259.82
At the end of 6 years, the total amount in your client's fund will be $1,259.82.
To know more about fund visit:
https://brainly.com/question/14265441
#SPJ11
To examine 
 the weekly payroll of all employees, one would look at the:
To examine the weekly payroll of all employees, one would look at the: d. payroll register.
What is the payroll register?The payroll register is a book or record that is used to fill in the details of all the employees and their payment logs. A record of this register is often kept in good condition in case of any future discrepancies that will have to be resolved.
A person who wants to examine the weekly payroll of all employees in an organization must be able to look at the payroll register to know what is obtainable. There, he would find the names of the employees, their job roles and payment record.
Options:
a. W-4
b. employee earnings record
c. W-2
d. payroll register.
Learn more about the payroll register here:
https://brainly.com/question/24265652
#SPJ1
Frank borrowed $25,000 for a period of 4 years. His interest rate is 3%. How much interest will Frank pay in all?
 
                                                            Frank will pay the total amount of $28,000 with an interest of $3000.
What is the simple interest?Simple interest is defined as interest paid on the original principal and calculated with the following formula:
S.I. = P × R × T, where P = Principal, R = Rate of Interest in % per annum, and T = Time, usually calculated as the number of years. The rate of interest is in percentage r% and is to be written as r/100.
We have been given data as:
Principal (P) = $25,000
Rate of Interest (R) = 3%
Time (T) = 4 years
⇒ Simple interest = P × R × T
Substitute the value of P, R, and T in the above formula,
⇒ Simple interest = 25,000 × 3% × 4
⇒ Simple interest = 25,000 × 3/100 × 4
⇒ Simple interest = 25,000 × 0.03 × 4
Apply the multiplication operation, and we get
⇒ Simple interest = $3000
Total payback amount = $25,000 + $3000 = $28,000
Therefore, he will pay the total amount of $28,000 with an interest of $3000.
Learn more about the simple interest here:
brainly.com/question/22621039
#SPJ2
What kind of advertisements would a company be unable to measure with standardized
tests?
A company would be unable to measure
with standardized tests.
O sampling
O ad recall
O goodwill
O past advertising
use an optimization model to determine the best course of action for your real estate company, using the following assumptions: you wish to maximize the net present value of profit over the next eight quarters. assume 6% irr, compounding quarterly. (so 1.5% per quarter) in each neighborhood in which they open an office, they will achieve a baseline of 5.5% market penetration, and earn a 5% commission on sales. for every .1% the commission you charge decreases, your market penetration will increase by .15%, (down to a minimum penetration of 4% or a maximum of 6%) you must pay rent and utilities in each office you open each month. determine the average cost per gross square foot of commercial real estate in your neighborhood for the last year (in nyc historical). [when determining this value, you should exclude properties where gross square feet or sale price is unknown.] each month you will pay 1.5% of this for rent and utilities for each square foot of office space you rent. you must rent at least 250 square feet of office space, plus 125 for each employee you hire. you may hire up to 3 employees. each employee you hire costs a yearly salary $65,000 including benefits, and increases your market penetration by .5%. your monthly operating budget is $15,000. you may add other assumption you deem realistic so long you provide the explanation in your report.
The best course of action for the real estate company is to open offices in neighborhoods with higher market penetration and lower commercial real estate costs, hire up to 3 employees, and set commission rates to achieve maximum net present value of profit over the next 8 quarters while staying within the monthly operating budget of $15,000.
To optimize net present value of profit, the real estate company should analyze market penetration, commission rates, and real estate costs in each neighborhood to determine which locations will yield the highest profit.
The company should also hire up to 3 employees to increase market penetration while staying within the operating budget. The commission rate should be set to maximize profit while also taking into account the relationship between commission rates and market penetration.
The company should aim to rent office space in neighborhoods with low commercial real estate costs and high market penetration, and adjust the office space size to meet the minimum requirements while minimizing costs.
Finally, the company should regularly monitor and adjust its strategy to adapt to changing market conditions.
For more questions like Company click the link below:
https://brainly.com/question/30532251
#SPJ11
. Relaciona el éxito o fracaso que han tenido las industrias con la jerarquía de las necesidades de la pirámide de las Necesidades individuales de Maslow. Mínimo 5 líneas, máximo 7 2. Elabora una lista con los nombres de los productos o servicios que ofrecen al mercado en cada una de estas industrias. 3. Completa el siguiente cuadro y coloca en la última columna el producto/servicio y nombre que le pondrías a tu nuevo emprendimiento
Answer:
Las respuestas a cada pregunta se detallan en la explicación.
Explanation:
1.Hoy en dia al gran proceso de globalización que enfrentamos,las industrias de la tecnología industrial han logrado acoplarse muy bien dentro de la estructura jerárquica de la escala de Maslow como necesidades de seguridad,es decir que es muy importante que sepamos utilizarla por ejemplo en el caso de la tecnología móvil o GSM ( un portátil,un celular,una impresora); para de esta manera realizar de manera correcta determinadas funciones dentro de una empresa y así poder conservar nuestros empleos y por consiguiente cubrir nuestras necesidades de alimentación,techo y abrigo ,pero no solo nuestras necesidades básicas sino también las de nuestra familia.
2.Industria de la tecnología: Ofrece diversos productos en el mercado como son:
-celulares de toda gama
-Computadores portátiles.
-Tablets
-Automatización o Robótica
-Nanotecnología
-Aviación.
Negotiations with a positive settlement range are obvious from the beginning.
True
False
Negotiations with a positive settlement range are obvious from the beginning is False.
Negotiations with a positive settlement range are not always obvious from the beginning. The settlement range in a negotiation refers to the range of acceptable outcomes for all parties involved. It represents the zone within which a mutually agreeable resolution can be reached.
In many cases, the initial positions and interests of the parties may be different, and finding common ground requires active negotiation and exploration of options. The settlement range is often discovered and developed through the negotiation process itself, as parties exchange information, make concessions, and seek compromises.
Negotiations can start with divergent positions and conflicting interests, but as the parties engage in dialogue and seek mutually beneficial solutions, the settlement range may become clearer. Through open communication, creative problem-solving, and the exchange of proposals and counter-proposals, negotiators can gradually narrow down the range of possible outcomes and identify potential areas of agreement.
Therefore, it is not always obvious from the beginning whether a negotiation will have a positive settlement range. It depends on the dynamics, interests, and willingness to collaborate and find common ground among the parties involved.
Learn more about Settlement range here:
brainly.com/question/31767016
#SPJ11
Next O Cover Letters and Résumés: Mastery Test
1
Select the correct answer.
Josita is preparing a résumé for a job teaching graphic design at a high school. She wants to list the software programs she has learned. In what
section of her résumé should Josita include these programs?
OA honors
OB. activities
OC. skills
OD. experience
Reset
Submit Test
Next
If Josita is preparing a résumé for a job teaching graphic design at a high school. She wants to list the software programs she has learned. The section of her résumé that Josita should include these programs is: C. skills.
What is skills?Skills can be defined as the ability a person or an individual possess when it comes to performing or carrying out tasks. A person can tend to possess inbuilt Skills or acquired skills they known will be of important to them.
Based on the scenario the software programs was the skills that Josita acquired because she learned it, the software program should be included as part of the skills she possess in her resume as this will enables are employer to know the skills she possess.
Therefore If Josita is preparing a résumé for a job teaching graphic design at a high school. She wants to list the software programs she has learned. The section of her résumé that Josita should include these programs is: C. skills.
Learn more about skills here:https://brainly.com/question/1233807
#SPJ1