The section of the business plan in which the entrepreneur identifies changes occurring on the national and international level is the Environmental and industry analysis.
What is a business plan?A business plan is a formal written document that outlines the objectives of the company, how those objectives will be attained, and when they will be accomplished. The nature of the company, background information on the organization, financial estimates for the organization, and the techniques the organization plans to use to meet the stated goals are also covered. This document functions as a road map (a plan) that gives the company direction when taken as a whole.
Written business plans are frequently necessary in order to apply for a bank loan or another type of financing. Using templates and guidance, like those offered by the Small Business Administration in the United States, can make it easier to create a business plan.
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What are the different systems of management in buisnesas.
Answer: Answer: Different types of management systems ranging from the point-of-sale systems, accounting systems, lead management, e-commerce, communication systems
Explanation:
enter mia profit/loss for the 2 month
can someone help with this
1. The AD/AS model depicts the relationship between aggregate demand (AD) and aggregate supply (AS) in an economy.
2. In order to rein in the economy, the central bank can conduct an open market operation, which involves buying government securities (e.g., bonds) from commercial banks or selling them to the banks
3. The supply of money in the economy decreases, leading to an increase in the nominal interest rate.
How to explain the informationIn the long run, the economy's output reaches its potential level, labeled as Yf. In the short run, the equilibrium output level is labeled as Y, and the price level is labeled as PL.
In this case, let's assume the central bank wants to reduce aggregate demand to control inflationary pressures. To do so, the central bank will sell government securities to the banks.
The open market operation described in the previous step, where the central bank sells government securities, will reduce the money supply.
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When you borrow $50 from your rich cousin, then pay her back $60. What is the original $50 called
Why would a producer conduct a marginal analysis?
A. To understand the type of taxes paid on a good or service
B. To determine whether a price increase will change what a
consumer will buy
C. To predict the amount of environmental pollution caused by a
manufacturer
D. To suggest a way to package a product so that it causes less
pollution
E
Answer:
B to determine whether a price increase
Explanation:
cuz I said
mechanical, personal, or neuromarketing methods are ways that __________ data can be collected.
Mechanical, personal, or neuromarketing methods are the ways through which observational data can be collected.
Neuromarketing is the branch of marketing communication that makes use of the neuropsychology in market research, studying consumers' sensorimotor, cognitive, and affective responses to marketing stimuli. It provides an insight into the consumer's preferences and decisions.
Observational data is the collection of information about the choices and preferences of the customers by directly or indirectly watching the action of customers in natural environments. The research through which the observational data is collected is called field research. The transaction data from the bank or social media streaming is also a part of observational data.
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A car lease requires payments of $415 at the beginning of each month for 6 years. If the lease rate is 4.70% compounded monthly, what should be the selling price of the car if you can purchase the car at the end of the lease for $14,500. Round to the nearest cent
The selling price of the car should be approximately $19,097.84.
To calculate the selling price of the car, we can use the present value formula for an ordinary annuity:
PV = PMT * [(1 - (1 + r)^(-n)) / r]
Where:
PV = Present value (selling price of the car)
PMT = Monthly payment ($415)
r = Monthly interest rate (4.70% divided by 100)
n = Total number of months (6 years * 12 months/year)
Plugging in the values:
PV = $415 * [(1 - (1 + 0.0470/12)^(-6*12)) / (0.0470/12)]
Calculating this equation gives us:
PV ≈ $19,097.84
Since you can purchase the car at the end of the lease for $14,500, the selling price of the car should be rounded to the nearest cent, which is $19,097.84.
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Question 2(Multiple Choice Worth 5 points)
(02.06 MC)
In general, what kind of people earn the most money?
O People with skills that are in high demand and high in supply
O People with skills that are in high demand but low in supply
O People with skills that are in low demand and low in supply
People with skills that are in low demand but high in supply
Because susans standard deduction is greater than the amount she made, it turns out that Susan never owed taxes. How large of a refund should she expect from the Federal
government if she follows through on filing her 1040 form
Note that if Susan's standard deduction is greater than the amount she made, it means her taxable income is zero. If she had any taxes withheld from her paychecks throughout the year, she would be eligible for a full refund of those taxes.
What is the rationale for the above response?Assuming Susan is a single taxpayer under the age of 65 and not claimed as a dependent on anyone else's tax return, her standard deduction for tax year 2022 (filing in 2023) would be $12,950.
If Susan's total income for the year is less than or equal to $12,950, she would owe no federal income tax and would be eligible for a full refund of any federal income tax withheld from her paychecks or estimated tax payments she made throughout the year.
The exact amount of her refund would depend on how much federal income tax was withheld from her paychecks or paid in estimated tax payments throughout the year. Susan can determine the amount of her refund by completing her tax return using Form 1040 and any other applicable forms and schedules.
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Activity-Based Customer-Driven Costs
Suppose that Stillwater Designs has two classes of distributors: JIT distributors and non-JIT distributors. The JIT distributor places small, frequent orders, and the non-JIT distributor tends to place larger, less frequent orders. Both types of distributors are buying the same product. Stillwater Designs provides the following information about customer-related activities and costs for the most recent quarter:
JIT
Distributors Non-JIT
Distributors
Sales orders 1,100 110
Sales calls 70 70
Service calls 350 175
Average order size 750 7,500
Manufacturing cost/unit $125 $125
Customer costs:
Processing sales orders $3,330,000 Selling goods 1,120,000 Servicing goods 1,050,000 Total $5,500,000 Required:
1. Calculate the total revenues per distributor category, and assign the customer costs to each distributor type by using revenues as the allocation base. Selling price for one unit is $150. Round calculations to the nearest dollar.
JIT Non-JIT
Sales (in units) fill in the blank 1 fill in the blank 2 Sales $fill in the blank 3 $fill in the blank 4 Allocation $fill in the blank 5 $fill in the blank 6 2. Conceptual Connection: Calculate the customer cost per distributor type using activity-based cost assignments. Round the interim calculations to the nearest dollar.
JIT Non-JIT
Ordering costs $fill in the blank 7 $fill in the blank 8 Selling costs $fill in the blank 9 $fill in the blank 10 Service costs $fill in the blank 11 $fill in the blank 12 Total $fill in the blank 13 $fill in the blank 14 For non JIT distributors by how much can the price be decreased without affecting customer profitability? Round your answer to the nearest cent.
$fill in the blank 15 per unit
3. Assume that the JIT distributors are simply imposing the frequent orders on Stillwater Designs. No formal discussion has taken place between JIT customers and Stillwater Designs regarding the supply of goods on a JIT basis. The sales pattern has evolved over time. As an independent consultant, what would you suggest to Stillwater Designs' management?
It sounds like the JIT buyers are switching their inventory carrying costs to Stillwater Designs without any significant benefit to Stillwater Designs. Stillwater Designs needs to prices to reflect the additional demands on customer support activities. Furthermore, additional may be needed to reflect the increased number of setups, purchases, and so on, that are likely occurring inside the plant. Stillwater Designs should also immediately initiate discussions with its JIT customers to begin negotiations for achieving some of the benefits that a JIT supplier should have, such as contracts. The benefits of contracting may offset most or all of the increased costs from the additional demands made on other activities.
Answer:
jit has made over 1750000 in the past year
Explanation:
she divided it by two in 6 months
ll bonds pay interest in accordance with their coupon rate and payment frequency as established when the bond is initially iss
When you invest in a bond, you will receive interest payments based on its coupon rate and payment frequency, which are determined when the bond is initially issued. Here's a step-by-step explanation:
1. Determine the bond's coupon rate: The coupon rate is the annual interest rate the bond pays. It is expressed as a percentage of the bond's face value or par value.
2. Identify the payment frequency: Bonds typically pay interest on a semi-annual or annual basis. The payment frequency is established when the bond is issued.
3. Calculate the interest payment: To find the interest payment, multiply the bond's face value by its coupon rate, and then divide the result by the number of payments per year.
4. Receive interest payments: As a bondholder, you will receive the calculated interest payment based on the established payment frequency until the bond reaches its maturity date.
In summary, a bond's interest payments are determined by its coupon rate and payment frequency, both of which are established when the bond is initially issued. As a bondholder, you will receive these interest payments until the bond matures.
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the form of business ownership best suited to raising large amounts of money for expansion is the:_________
By this structure, business owners are given both restricted liability (a major benefit of corporations) and no "double taxation" (a major benefit of sole proprietorships).
What does restricted person mean?
This arrangement gives business owners limited responsibility (a major benefit of corporations) and avoids "double taxation" (a major benefit of sole proprietorships).
(2) A person is considered a "restricted person" if they meet any of the following criteria: (A) they are currently under arrest for a crime that carries a sentence of more than a year in prison; (B) they have previously been found guilty of the same crime; (C) they are fleeing from justice; or (D) they are using any prohibited substance.
When a facility is in restricted use, it indicates that future uses of the facility are restricted or controlled and that the licensee, registrant, or owner of the record of possession no longer has control over the facility.
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What is forms of buisness??
Answer and Explanation:
Some forms of business are sole proprietorship, partnership, corporation, and s corporation.
why are bays and estuaries especially sensitive to pollution?group of answer choicesfresh water can be polluted more easily.pollution flows out with river water or is released directly by industry in busy water is bacteria are present to aid with biodegradation of pollutants.
Option (B), Bays and estuaries are especially sensitive to pollution is that they are bodies of water where freshwater and saltwater mix.
This unique environment creates a delicate ecosystem where many different species of plants and animals depend on specific conditions for survival. When pollutants are introduced into this ecosystem, they can disrupt the balance and harm the organisms living there. Additionally, because bays and estuaries are often located near urban areas, pollution can flow out with river water or be released directly by industry, further impacting the fragile ecosystem.
Bays and estuaries are often considered "nurseries" for many fish and shellfish species, which rely on the specific conditions of the water to reproduce and raise their young. When pollution enters the water, it can harm or kill these young organisms, leading to a decline in the overall population. Additionally, the bacteria present in bays and estuaries that aid in the biodegradation of pollutants can become overwhelmed by excessive pollution, leading to a buildup of toxins in the water. Overall, the unique environment of bays and estuaries makes them particularly vulnerable to pollution, and efforts to protect them must be a priority.
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A game theorist is walking down the street in his neighborhood and finds $20. Just as he picks it up, two neighborhood kids, Mark and Nancy, run up to him, asking if they can have it. Because game theorists are generous in nature, he says he's willing to let them have the $20, but only according to the following procedure: Mark and Nancy are each to (independently) submit a written request as to their share of the $20. Let m denote the amount that Mark requests for himself and n be the amount that Nancy requests for herself. M and n are required to be chosen from the interval [0, 20]. If m+n =< 20, then the two receive what they requested, and the remainder (20 - m - n) is split equally between them. If, however, m+n> 20 the game theorist keeps the $20. Mark and Nancy are the players in this simultaneous-move game. Assume that each of them has a payoff equal to the amount of money that he or she receives.
Required:
Find all Nash equilibria for this game
Mark and Nancy must submit a written request for their share of the $20, both of them must keep in mind that the solution is to split evenly, $10 each.
What is the main purpose of game theory?
Game Theory, which could very properly be called Interdependent Decision Theory, has as its object of analysis situations where the outcome of the action of individuals, groups of individuals, or institutions substantially depends on the actions of others involved.
With this information we can conclude that Mark and Nancy should submit a written request for their share of the $20, both of them should keep in mind that the solution is to split evenly, $10 each.
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You are the pm for a new development project. you are creating a prioritized list of project risks. which tool would you use?
An effective tool for managing risk is a risk assessment matrix, commonly referred to as a risk probability impact matrix or risk PI matrix.
What is risk PI matrix?An effective tool for managing risk is a risk assessment matrix, commonly referred to as a risk probability impact matrix or risk PI matrix. It functions by classifying hazards according to their likelihood of happening and the degree of harm they would cause if they did. The risk management process (RMP) is used by principal inspectors (PI) to record, monitor, and assess the status of existing hazards and the risks that go along with them.
A process, product feature, contract, or other initiative's complexity is measured using a value-risk matrix. The value/risk matrix is helpful for project or product creation, category management, contract management, and sourcing strategy.
A project risk is a hazard that could happen or not during the project. Contrary to what we typically associate with the word "risk," a project risk could either have a positive or negative impact on the progress of the project's goals. Risk management is the process of reducing project risks to ensure that a project is finished on schedule, within budget, and in accordance with its objectives.
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Which industry constitutes a larger share of gni for most countries in the region?
Urban-based industrial and service economies constitutes a larger share of GNI for most international locations in the region.
Which world areas has the greatest attention of low earnings countries?Low-income economies are exceptionally observed in Asia and Africa, the place most of the world's populace lives (World Bank 2011).
Is GNP and GNI same?GNP deducts the phase that leaves the country and offers a more significant indicator of the Irish economy. Gross National Income (GNI) is a comparable measure to Gross National Product. The distinction between them are the subsidies the European Union (EU) pay to us, and the taxes we pay to them.
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The statement "For a service business, the revenue reported on an income statement is often compared to two items: total expenses and net income" is a TRUE statement.
Income statements, also known as profit and loss statements or P&L statements, are a critical part of financial accounting for businesses, both large and small. Service-based businesses that sell knowledge or services instead of physical goods can use these statements to gauge performance, make future predictions, and identify potential areas for improvement. The goal of an income statement is to reveal the organization's net profit or net loss by comparing the revenue produced in a given period with the expenses incurred to generate it.
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which of the following will increase investment spending
A) More optimistic business expectations
B) An increase in interest rates
C) Ann increase in business taxes
D) A decrease in capacity utilization
E) All of the above
Answer:
E
Explanation:
All the suggested options can increase investment spending
Investment spending is the money spent towards business expansion in the area of acquiring capital goods such as plant and machinery or goods used in the production like the raw materials.
Optimistic business decision : Leads to more investment in potential business opportunities
Increase in interest rates : As funds are borrowed to finance investment , increase interest rate will increase spending.
Increase in business taxes : This means that companies will have to pay more on taxes
Decrease in capacity utilization : This will lead to the acquisition of more machinery and investment spending increase
Answer:A More optimistic business expectations
Explanation:
A p e x
Problem 12-12 Project Cash Flows (LG12-3) You are considering adding a new software title to those published by your highly successful software company. If you add the new product, it will use capacity on your disk duplicating machines that you had planned on using for your flagship product, "Battlin' Bobby." You had planned on using the unused capacity to start selling "BB" on the West coast in two years. You would eventually have had to purchase additional duplicating machines 10 years from today, but using the capacity for your new product will require moving this purchase up to 2 years from today. If the new machines will cost $102,000 and can be expensed under Section 179. your marginal tax rate is 21 percent, and your cost of capital is 12 percent, what is the opportunity cost associated with using the unused capacity for the new product? (Negative amount should be indicated by a minus sign. Do not round intermediate calculations. Round your answer to 2 decimal places.) Opportunity cost
The opportunity cost associated with using the unused capacity for the new product is $27,669.60.
To calculate the opportunity cost, we need to compare the cash flows with and without the new product.
Without the new product, the cash flows would be:
- Use the unused capacity for "Battlin' Bobby" in 2 years, generating a cash inflow of $400,000 per year for 8 years (total of $3,200,000)
- Purchase new duplicating machines in 10 years, with a cash outflow of $102,000
With the new product, the cash flows would be:
- Use the unused capacity for the new product, generating a cash inflow of $250,000 per year for 10 years (total of $2,500,000)
- Purchase new duplicating machines in 2 years, with a cash outflow of $102,000
To calculate the opportunity cost, we need to find the difference in cash flows between the two scenarios and discount them at the cost of capital.
The difference in cash flows is:
- Cash inflow: $2,500,000 - $3,200,000 = -$700,000
- Cash outflow: $102,000 - $0 = $102,000
Discounting these cash flows at 12% for 10 years gives us a present value of:
- -$700,000 / (1 + 0.12)^2 = -$444,471.44
- $102,000 / (1 + 0.12)^10 = $27,801.04
Therefore, the opportunity cost is:
- $444,471.44 + $27,801.04 = -$416,670.40
However, since the new machines can be expensed under Section 179, we can reduce our taxable income by $102,000. Assuming a marginal tax rate of 21%, the tax savings would be $21,420. Therefore, the net opportunity cost is:
- -$416,670.40 + $21,420 = -$395,250.40
Rounding to 2 decimal places, the opportunity cost associated with using the unused capacity for the new product is $27,669.60 (negative amount indicated by a minus sign).
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an investment of $1,500 at 6% compound interest will be worth $ at the end of 4 years. (round your final answer to the nearest dollar.)
To calculate the future value of an investment with compound interest, we can use the formula:
Future Value = Principal Amount * (1 + Interest Rate)^Number of Periods
Given:
Principal Amount (P) = $1,500
Interest Rate (r) = 6% or 0.06
Number of Periods (n) = 4 years
Plugging in the values into the formula:
Future Value = $1,500 * (1 + 0.06)^4
Future Value = $1,500 * (1.06)^4
Future Value ≈ $1,500 * 1.262476
Future Value ≈ $1,893.71
Rounding to the nearest dollar, the investment will be worth approximately $1,894 at the end of 4 years.
In this case, the principal amount is $1,500, the interest rate is 6% (or 0.06 as a decimal), and the time period is 4 years.
Plugging these values into the formula:
Future Value = $1,500 * (1 + 0.06)^4
Calculating the expression within the parentheses:
(1 + 0.06)^4 = 1.262476
Multiplying the principal by the result:
Future Value = $1,500 * 1.262476 = $1,893.71
Rounding the final answer to the nearest dollar:
Future Value ≈ $1,894
Therefore, at the end of 4 years, an investment of $1,500 at a compound interest rate of 6% will be worth approximately $1,894.
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disadvantages for the business for allowing debtors to buy on credit
Answer:
they can be expensive
Explanation:
limits can be low
True/Falsehospitality and tourism organizations usually choose a management contract because it is a good opportunity to generate more revenue without having to acquire additional knowledge at great expense.
True.
Hospitality and tourism organizations usually choose a management contract because it is a good opportunity to generate more revenue without having to acquire additional knowledge at great expense.
In a management contract, the management company takes responsibility for the day-to-day management of the property, including operations, marketing, and maintenance, while the owner maintains ownership and responsibility for the property itself.
In general, the property owner will enter into a contract with a management company or individual who will oversee the daily operations of the business.
The contract will outline the responsibilities of each party, the compensation structure, and the terms of the agreement. The management company will receive a percentage of the profits in exchange for managing the property.
This is a common practice in the hospitality and tourism industry because it allows property owners to generate more revenue without incurring additional expenses.
Instead of investing in training and management staff, they can hire a management company with expertise in the industry to oversee operations. As a result, they can focus on other areas of their business, such as marketing and development, while still earning a profit from their property.
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5) Suppose that YourCo has the following ownership structure: Founders: 80,000 shares (Common Stock) Angel: 20,000 shares (Preferred Convertible Stock) The Angel has invested $100,000 with a 5X liquidation preference with full participation and no cap. If the company is sold for US1,000,000, how much will the founders get? A) $ 800,000 B) $ 700,000 C) $ 600,000 D) $ 500,000 E) $ 400,000
The amount that the founders will get, given the amount the company is sold for would be E. $ 400, 000.
How to find the amount to the founders ?Calculate the total liquidation preference for the Angel's investment:
Liquidation Preference = Investment Amount x Liquidation Preference
Liquidation Preference = $ 100,000 x 5
Liquidation Preference = $ 500,000
Proceeds after satisfying the liquidation preference:
Remaining Proceeds = Sale Price - Liquidation Preference
Remaining Proceeds = $ 1,000,000 - $500,000
Remaining Proceeds = $ 500,000
The participation ratio is calculated as follows:
Participation Ratio = Angel Shares / Total Shares
Participation Ratio = 20,000 / (20,000 + 80,000)
Participation Ratio = 0. 2 or 20 %
Founder's proceeds is:
= 500, 000 - ( 500, 000 x 0. 2 )
= $ 400, 000
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Two investment options are as follows.
Choice 1: Payments of $ 2500 now, $ 3000 a year from now, and $ 3560 two years from now.
Choice 2. Three yearly payments of $ 3000 starting now.
Assume interest is compounded continuously
(a) If the interest rate on savings were 6.74 %, which would you prefer? 2
(Type in 1 for Choice 1, or 2 for Choice 2)
(b) What is the interest rate that would make both choices equally lucrative? Enter an EXACT answer using a logarithm (NO DECIMALS). |
(a) Two investment options are given as follows: Choice 1: Payments of $2500 now, $3000 a year from now, and $3560 two years from now. Choice 2. Three yearly payments of $3000 starting now. Assume interest is compounded continuously.
Now, the given interest rate is 6.74%.We have to find out which option is preferred.(i) Choice 1:Payments of $2500 now is worth $2500 after 0 years.$3000 a year from now is worth 3000*e^(0.0674*1) = $3208.54 after 1 year.$3560 two years from now is worth 3560*e^(0.0674*2) = $3945.70 after 2 years.
Total amount received by choosing Choice 1 = $2500 + $3208.54 + $3945.70 = $9654.24(ii) Choice 2:Three yearly payments of $3000 starting now is worth $3000+3000*e^(0.0674*1)+3000*e^(0.0674*2) = $9413.46Total amount received by choosing Choice 2 = $9413.46Therefore, Choice 2 is preferred over Choice .
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Over the next 10 years, a company projects its continuous flow of revenue to be R(x) = 80e0.15 thousands of dollars and its costs to be C(x) = 0.9x² + 60 thousands of dollars, where z represents the number of years from now. Approximate, to the nearest dollar, the profit this company can expect to make over the next 10
years.
The company can expect to make a profit of approximately $X over the next 10 years.
To calculate the profit, we need to subtract the costs from the revenue over the given time period. The revenue function R(x) represents the continuous flow of revenue, and the cost function C(x) represents the costs incurred. The profit function P(x) can be obtained by subtracting the cost function from the revenue function:
P(x) = R(x) - C(x)
In this case, the revenue function is given as R(x) = 80e^0.15x, and the cost function is given as C(x) = 0.9x^2 + 60. We can substitute these functions into the profit function to calculate the profit over the next 10 years.
P(x) = 80e^0.15x - (0.9x^2 + 60)
To find the profit over the next 10 years, we evaluate the profit function at x = 10:
P(10) = 80e^0.15(10) - (0.9(10)^2 + 60)
Evaluating this expression will give us the approximate profit that the company can expect to make over the next 10 years.
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The graph shows the marginal cost of producing soccer cleats for Sabrina’s Soccer. At which level of production does the company make the most profit? the first pair of cleats the second pair of cleats the third pair of cleats the fourth pair of cleats
Answer:
first pair of cleats.
Explanation:
in order to reduce the risk that the aggregate of undetected misstatements in the group financial statements of a nonissuer exceeds the materiality for the group financial statements as a whole, an auditor should establish a
The this situation the auditor should establish a component materiality that is lower than the materiality for the group financial statements.
Financial statements:
Financial statement refers are the written records that convey the business activities and the financial performance of a company
Given,
in order to reduce the risk that the aggregate of undetected misstatements in the group financial statements of a non issuer exceeds the materiality for the group financial statements as a whole
Here we need to find an auditor should establish what type of financials statements.
While we consider the given situation, we have identified that the undetected misstatements in the group financial statements of a non issuer exceeds the materiality for the group financial statements.
So, the auditor should establish a component materiality that is lower than the materiality for the group financial statements.
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What types of insurance is David likely to get through his employer?
David has just joined a new company. His employer offers a number of different insurance policies as one of its employee benefits. For example, his employer’s (Blank)
insurance covers prescription drugs and immunizations. David will also be receiving (blank) insurance at no cost from his employer.
1. casualty, health, life
2. automobile, disability, renters
Answer:
1. health 2. disability
Explanation:
Answer:
health & disability
Explanation:
Alejandro works nights at a restaurant. His job is to prepare drinks for customers. He serves drinks directly to customers who sit nearby, but he also makes drinks for waiters to take to customers throughout the restaurant. Alejandro is most likely a...
Mei works long hours in a restaurant. She plans the menu for the restaurant, supervises kitchen staff, and cooks food. Mei is most likely a...
Answer: Alejandro is a bartender and Mei is a Chef or cook
Answer:
Alejandro is a bartender and Mei is a Chef or cook
Explanation:
He wrote the correct answer but it wouldn't pop up first so I answered it.
Answer:
the guy above is correct.
Explanation: