The actions of the Irish government described in statement (a) and (b) are likely incompatible with Article 34 TFEU, which prohibits quantitative restrictions on imports and measures having equivalent effect, option (a) and (b) are correct.
Under Article 34 TFEU, the Irish government is a state-funded advertising campaign and legislation prohibiting online sales of luxury handbags may infringe upon the principles of free movement of goods. These measures could hinder imports from other EU member states and favor domestic products.
However, the government's ban on the sale of leather goods containing chemical X and the import ban on fur coats are more likely to be justified. Article 36 TFEU allows for restrictions on the free movement of goods on grounds of public morality, public policy, and the protection of health and life of humans, animals, or plants. The government's actions seem to be motivated by health and animal welfare concerns, providing a plausible justification for the restrictions, option (a) and (b) are correct.
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How Social Media can Destroy Your Finances
Answer:
You buy unnecessary items that have no purpose later on, or you buy an over expensive item that you cant seem to pay back later on in other circumstances
Which of the following is the best summary of the dispute?
Multiple Choice
A) Gottlieb's standard form contract included a limitation of liability/limitation of consequential damages clause. If that clause is applied, Gottlieb does not owe Alps consequential damages. Alps argues that the clause should not apply.
B) Alps' standard form contract included a limitation of liability/limitation of consequential damages clause. If that clause is applied, Alps does not owe Gottlieb consequential damages. Gottlieb argues that the clause should not apply because it was specifically objected to within a reasonable amount of time.
C) Alps' standard form contract included a limitation of liability/limitation of consequential damages clause. If that clause is applied, Alps does not owe Gottlieb consequential damages. Gottlieb argues that the clause should not apply.
D) Gottlieb's standard form contract included a limitation of liability/limitation of punitive damages clause. If that clause is applied, Gottlieb does not owe Alps punitive damages. Alps argues that the clause should not apply.
The best summary of the dispute is option A:
Gottlieb's standard form contract included a limitation of liability/limitation of consequential damages clause. If that clause is applied, Gottlieb does not owe Alps consequential damages. Alps argues that the clause should not apply.
Here's a step-by-step explanation:
1. Gottlieb's standard form contract has a clause that limits their liability and consequential damages. This means that if the clause is enforced, Gottlieb is not responsible for any consequential damages owed to Alps.
2. Alps, on the other hand, disagrees with the application of this clause. They argue that the clause should not be applied in their case.
So, the dispute is centered around the interpretation and application of the limitation of liability/limitation of consequential damages clause in Gottlieb's contract. Alps is contesting the enforcement of this clause, claiming that it should not be applicable to their situation.
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it is reasonable to use the conflict management strategy when the issue at hand is something of little importance to you.
It is reasonable to use the avoidance conflict management strategy when the issue at hand is something of little importance to you.
The avoidance strategy involves deliberately avoiding or sidestepping the conflict without directly addressing or resolving it. This approach can be suitable for situations where the issue is considered relatively unimportant or trivial, and the potential negative consequences of engaging in conflict outweigh the benefits of resolution.
By choosing avoidance, individuals can maintain harmony, preserve relationships, and prioritize more significant matters. It may be appropriate to use this strategy when the issue does not significantly impact personal values, goals, or objectives.
However, it is important to note that excessive reliance on avoidance as a conflict management strategy can lead to unresolved issues, resentment, or missed opportunities for growth and improvement. It is essential to assess the context and implications of the conflict to determine the most appropriate approach for conflict resolution.
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- Assume the same problem above but the dividend is first expected to be paid out in year \( 9 . \) a) \( \$ 25 \) b) \( \$ 41.67 \) c) \( \$ 43.91 \) d) \( \$ 62.50 \) e) None of these answers
The present value of the dividend to be paid in year 9 is approximately $18.58.
To calculate the present value of the dividend to be paid in year 9, we need to discount it back to the present using the required return. We can use the formula for present value of a single cash flow:
Present Value = Future Value / (1 + Required Return)^n
where Future Value is the dividend to be paid in year 9, Required Return is the required return on the investment, and n is the number of years until the dividend is paid.
Given that the dividend to be paid in year 9 is $25 and the required return is 3.4155% (as calculated in the previous response), we can calculate the present value as follows:
Present Value = $25 / (1 + 0.034155)^9
= $25 / (1.034155)^9
= $25 / 1.346177
≈ $18.58
Therefore, the present value of the dividend to be paid in year 9 is approximately $18.58.
None of the given answer options match the calculated present value.
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How much would you sell a paper airplane for? Why? How much of that is profit?
Answer:
$100009
Explanation:
if it's homemade, sell it for that much.
if this is an actual question, I'm so sorry.
Answer:
maybe one dollar each, I can make a paper airplane w mail paper, so I won't waste money on actual paper, but I dont think my answer is good so choose the other ones
‼️‼️ Which of the following statements about international business is the most
accurate?
A. International business can be riskier than domestic business but
the size of the market makes it a very attractive option.
B. Individuals and small business are at less risk than large
corporations in selling overseas.
c. Most products on the market today are produced domestically.
D. International banking regulations are the same in most countries.
Answer:
A
Explanation:
A-P-E-X
International business can be riskier than domestic business but the size of the market makes it a very attractive option is the most accurate statement about international business among the given options. The correct option is A.
Why international business is riskier than domestic business?More regulations apply to international business than domestic business. Domestic business generally has lower quality requirements than the international company. In comparison to domestic business, overseas business typically has greater quality standards.
International business involves trading goods and services across national borders, which can expose businesses to a range of risks such as currency fluctuations, political instability, different legal systems, and cultural differences. However, the size of the international market and the potential for increased revenue and profit can make it an attractive option for businesses seeking to expand their operations.
Thus, the ideal selection is option A.
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firms will only adopt more automated methods of production when
Answer when the argument gets too long
Explanation:
Consider the following information obtained from a prospectus of
an IPO dated 26 October 2020. MR D.I.Y. Group (M) Bhd.
KUALA LUMPUR: MR D.I.Y. Group (M) Bhd., the country's largest
IPO this year, mad
MR D.I.Y. Group (M) Bhd., a Malaysian company, had the largest initial public offering (IPO) in the country in 2020. The IPO aimed to raise funds for the company's expansion plans and future growth.
MR D.I.Y. Group (M) Bhd.'s IPO marked a significant event for the company and the Malaysian market. IPOs are a means for companies to raise capital by offering shares to the public for the first time. The proceeds from the IPO can be used to fund expansion, invest in new projects, pay down debts, or other strategic initiatives.
Unfortunately, the provided information does not offer specific details about the amount raised or the company's plans. To fully assess the impact of the IPO and understand its implications, it would be necessary to review the prospectus or additional information from reliable sources.
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true or false. secondary reserves include group of answer choices state and local government securities. short-term u.s. government securities. deposits at federal reserve banks. deposits at other large banks.
True. State and local government securities, short-term U.S. government securities, deposits at Federal Reserve Banks, and deposits at other large banks are examples of secondary reserves.
Secondary reserves consist of a spread of brief-time periods and incredibly liquid belongings that banks keep in reserve to satisfy deposit withdrawals and other duties.
Those reserves serve as a buffer in opposition to sudden fluctuations in calls for deposits and assist ensure the steadiness of the banking system. Nation and nearby government securities, short-term U.S.
Authorities' securities, deposits at federal reserve banks, and deposits at different large banks are all examples of secondary reserves. These assets may be without problems transformed into coins if needed and are considered low-threat investments.
In comparison, number one reserves are the minimum level of reserves that banks must maintain to fulfill regulatory requirements. These reserves normally encompass coins inside the financial institution's vault and deposits at the federal reserve.
Number one reserves are considered the most liquid belongings and are used to satisfy each day's coins demands.
Maintaining the perfect stage of secondary and number one reserves is critical for banks to make certain their solvency and capability to fulfill their economic responsibilities. The federal reserve monitors banks' reserve ranges and may take motions to ensure that they agree to regulatory requirements.
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the risk-free rate of return is 3.5 percent, the inflation rate is 2.9 percent, and the market risk premium is 7.5 percent. what is the expected rate of return on a stock with a beta of 1.43? 14.2% 8.7% 11% 13.1% 4.6%
the risk-free rate of return is 3.5 percent, the inflation rate is 2.9 percent, and the market risk premium is 7.5 percent. The expected rate of return on a stock with a beta of 1.43 is 14.2%
How do you calculate the expected return on a stock?An investor can calculate the expected return by multiplying all possible outcomes by the probability of them occurring and adding those outcomes together to arrive at the total expected return. Expected rate of return is a simple measure of probability, used to determine the likelihood and rate of return that a particular investment will yield.
Risk free rate= 3.5%
Inflation rate= 2.9%
Market risk premium= 7.5%
Beta= 1.43%
Therefore the expected rate of return can be calculated as follows
= Risk free rate of return₊ (Beta × Market risk premium)
= 3.5 + (1.43 × 7.5)
= 3.5 ₊ 10.725
= 14.225%
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Over your lifetime, as a driver, it is estimated that you will
A. Most likely never be in a car accident
B. Be in one car accident
C. Be in two car accidents
D. Be in three to four car accidents
Answer:
The average is about three to four car accidents in their lifetime. Thats about 1 car accident every 18 years.
Explanation:
D is the correct option
Explain the four attributes or criteria that resource and/or capability must have to sustain competitive advantage.
When a firm possesses a resource or capability that is not easily replicated by competitors, it becomes a source of differentiation and can lead to a sustained competitive advantage.
To sustain a competitive advantage, resources and capabilities must possess four key attributes or criteria. These are:
1. Valuable: Resources and capabilities need to add value to a company's products or services. This means they should enable the firm to exploit opportunities or mitigate threats in the market. If a resource or capability does not provide any value, it is unlikely to contribute to a sustained competitive advantage.
2. Rare: Resources and capabilities that are unique or scarce are more likely to provide a competitive advantage.
3. Inimitable: The resource or capability must be difficult for competitors to imitate or replicate. This could be due to factors such as intellectual property rights, complex knowledge, or unique organizational culture. By being inimitable, the resource or capability becomes a valuable asset that competitors cannot easily obtain or reproduce.
4. Non-substitutable: Lastly, the resource or capability should have no close substitutes. This means that competitors cannot achieve similar outcomes or benefits through alternative means. By being non-substitutable, the resource or capability becomes a critical and irreplaceable factor in maintaining a competitive advantage.
In summary, These attributes help companies differentiate themselves, protect their uniqueness, and maintain their advantage in the market.
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Ralph is leasing a $32,000 car for 36 months. The terms of his lease include an 8. 5% interest rate (money factor of 0. 00354) and a residual value of 72%. Determine Ralph’s approximate monthly lease payment. A. $145. 00 b. $230. 40 c. $248. 89 d. $443. 73.
Based on the information given in the question the approximate value of monthly lease payment is 443.73, which relph paid.
Given that, in $
Principal value =32000
\(\begin{aligned}\text{Residual Value}&=\text{Principal}\times\text{ Residual Percentage}\\&= \$32,000\times 72\%\\&=\$23040.\end{aligned}\)
\(\begin{aligned}\text{Depreciation}&=\text{Principal}-\text{ Residual value}\\&=32,000-23040\\&=8960\end{aligned}\)
\(\begin{aligned}\text{Base monthly lease payment}&=\frac{Depreciation}{ Residual value}\\&=\frac{8960}{36}\\&=248.89\end{aligned}\)
\(\begin{aligned}\text{Interest per month}&=\text{Principal amount}+{ Residual value}\times{money factor}\\&=\text{8960}+{23040}\times{0.00354}\\&=194.84\end{aligned}\)
\(\begin{aligned}\text{Monthly lease payment}&=\text{Base monthly lease payment}+{Interest per month}\\&=\text{248.89}+{194.84}\\&=443.73\end{aligned}\)
Hence, the monthly lease payment is approximately $ 443.73
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If the price of the share grows as the company grows, how does buying shares in a company benefit an investor?.
Answer:
An investor will be able to sell these shares for a higher price and make a profit.
Explanation:
This is because the investor can sell the share for a higher price as people see the company is doing well.
Many businesses optimize their website to incorporate a ______ with simplified navigation to accommodate smartphones and tablets.
Many businesses optimize their website to incorporate a mobile-first strategy with simplified navigation to accommodate smartphones and tablets.
What is the importance of the "mobile first" strategy?The "mobile first" principle, in other words, plays a significant role in product design. On the one hand, it increases designers' efficiency and helps to shorten the product design process. On the other hand, it makes product content a more important consideration for designers, which helps them produce clean and useful designs.
What does a "mobile first" strategy mean?A "mobile-first" strategy entails designing a desktop site first for mobile, and then adapting it for larger screens. Instead of starting with a desktop site and then adapting it for smaller screens, as is the norm.
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a customer places an order to buy 100 shares of abc at the market. the broker enters the order and receives a report of execution shortly thereafter. ten minutes later, the customer telephones, and states that he placed the order in error and wishes to cancel the order. the appropriate procedure is to: a follow the customer's instructions and cancel the order b sell out the position and charge any loss to the customer c explain to the customer that the order has already been executed and is binding d assign the order to another customer who has a discretionary account
C. Explain to the customer that the order has already been executed and is binding.
When a customer places an order to buy or sell securities at the market, it means the order is to be executed immediately at the best available price. In this scenario, the broker received an execution report shortly after placing the order, which means that the order has been filled, and the trade has been executed. Once the trade has been executed, the order is considered binding, and it cannot be canceled unless there are extenuating circumstances, such as errors or fraud.
In this case, the customer contacted the broker to cancel the order, but the broker should explain to the customer that the order has already been executed and is binding. The broker should also remind the customer of the risks involved in placing market orders and encourage them to review their orders carefully before submitting them in the future.
It is not appropriate to follow the customer's instructions and cancel the order since the order has already been executed. Selling out the position and charging any loss to the customer or assigning the order to another customer who has a discretionary account are also not appropriate actions in this situation.
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(The financial marketplace: Securities Markets) Characteristics of money market debt include which of the following? (Select all that apply.) A. For the borrower, money market debt is a good way to raise money for short periods of time. B. For the investor, money markets offer a high rate of return - usually well above the rate of inflation. C. For the investor, money market debt is a very liquid investment and relatively safe. D. Borrowers use money market debt to borrow money to match short-term needs.
The characteristics of money market debt include: A) For the borrower, good way to raise money for short periods of time, C) For the investor, very liquid investment, and D) Borrowers use it to match short-term needs.
Money market debt refers to short-term debt instruments that have a maturity of one year or less. It is commonly used by borrowers to meet their short-term funding requirements. Therefore, option A is correct as money market debt provides an efficient way for borrowers to raise funds for short periods of time.
On the investor side, money market instruments are considered to be very liquid and relatively safe. Investors can easily buy or sell money market securities in the secondary market due to their high liquidity. Moreover, these instruments are typically issued by creditworthy entities and backed by low-risk assets, making them relatively safe investments.
Therefore, option C is also correct. However, option B is incorrect. Money market debt instruments generally provide lower rates of return compared to other investments because they are designed to be low-risk and highly liquid. They are not typically known for offering high rates of return.
Lastly, option D is correct as borrowers use money market debt instruments to match their short-term financing needs. These instruments provide flexibility in managing cash flow requirements and can be tailored to meet specific short-term borrowing needs.
In summary, money market debt is beneficial for borrowers as it allows them to raise funds for short periods, while investors find it attractive due to its liquidity and relative safety. However, money market instruments are not known for offering high rates of return.
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In order for a check to be legal tender it must be?
O Authorized
O Certified
Signed
O Processed
Answer:
certified signed
Explanation:
that signature come from police
Answer:
certified signed
Explanation:
The check only have power or in other words legit when only have the certification from the bank or the treasury.
Relate the following flow variables to its corresponding stock variables :
Flow variables :
a- Investment
b- Deficit spending
c- Quantity supplied (produced)
d- Profits
e- Saving per month
Stock variables :
1 (Owner's) equity
2 Debt
3 Inventory
4 Wealth
5 Capital stock
Flow variables are measurements of the rate at which something changes over time, while stock variables refer to the amount of something at a specific point in time. To relate the flow variables to the corresponding stock variables, we can consider the following:
a) Investment is a flow variable that refers to the amount of money spent on capital goods to increase production capacity. The corresponding stock variable would be the capital stock (5), which is the total amount of capital goods owned by a company.
b) Deficit spending is a flow variable that refers to the amount of money a government spends over and above its revenue. The corresponding stock variable would be debt (2), which is the total amount of money owed by a government.
c) Quantity supplied (produced) is a flow variable that refers to the amount of goods or services produced in a given time period. The corresponding stock variable would be inventory (3), which is the total amount of goods or services available for sale at a specific point in time.
d) Profits are a flow variable that refers to the amount of money earned by a company over a given period. The corresponding stock variable would be wealth (4), which is the total amount of assets owned by a company.
e) Saving per month is a flow variable that refers to the amount of money saved over a given period. The corresponding stock variable would be equity (1), which is the total value of assets owned by an individual or company minus any liabilities or debts owed.
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The price of mangoes is currently $5.00 per pound. At this price, producers are supplying 4,000 pounds of mangoes. Point C on the graph shows the current equilibrium price and quantity. To which point will the equilibrium shift if the demand increases suddenly because of a non-price determinan
t of demand?
Answer:
yes
Explanation:
Answer:
Point "B"
Explanation:
The following rule of thumb is to follow your equilibrium point. D2 "Demand Curve 2" and S1 "Supply Curve 1" illustrates how demand increases because of a non-price determinant.
In 2011, telemundo paid $600 million for spanish-language u. S. Rights to the 2018 and 2022 fifa men’s world cup. How many viewers watched the 2018 fifa men’s world cup on telemundo?.
In 2011, Telemundo paid $600 million for Spanish-language u. S. Rights to the 2018 and 2022 FIFA men’s world cup. 36.6 million TV viewers watched the 2018 fifa men’s world cup on telemundo.
FIFA is the worldwide governing frame of affiliation football, beach soccer and futsal. It become based in 1904 to oversee worldwide competition most of the countrywide institutions of Belgium, Denmark, France, Germany, the Netherlands, Spain, Sweden and Switzerland.
Based in 1904 to offer solidarity amongst national football institutions, the Federation Internationale de football affiliation (FIFA) boasts 209 members, rivaling that of the United countries, and is arguably the most prestigious sports company inside the global.
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d 100 bags of sawdust that sell for $1.00 each. If the unfinished logs are processed into finished lumber at a cost of $8.00 each, they will sell for $35. A bag of sawdust can be processed into Presto Logs that sell for $0.25 each at a cost of $0.75 per bag. Which of the following statements are true concerning whether the logs should be processed into finished lumber and whether sawdust should be processed into Presto Logs?
A) Both logs and sawdust should be processed
B) The sawdust should be sold as is without being processed into Presto Logs
C) The $1,000 cost for cutting down the tree is relevant to the decision
D) The logs should be processed
The correct statements concerning whether the logs should be processed into finished lumber and whether sawdust should be processed into Presto Logs is: D) The logs should be processed as
Based on the information provided, it is more profitable to process the logs into finished lumber. The cost of processing each log is $8.00, but they can be sold for $35. Therefore, the profit per log is $27. On the other hand, a bag of sawdust can be processed into Presto Logs that sell for $0.25 each, but the cost of processing each bag is $0.75, resulting in a profit of only $0.25 per bag. Therefore, statement D is true: the logs should be processed.
Statement A is not true because processing the sawdust into Presto Logs would result in a lower profit margin than processing the logs. Statement B is not true because processing the sawdust into Presto Logs does add some value, although not as much as processing the logs. Statement C is not relevant to the decision of whether to process the logs or sawdust, as it is a sunk cost and cannot be recovered regardless of the decision made.
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thornbrough corporation produces and sells a single product with the following characteristics: per unit percent of sales selling price $ 220 100% variable expenses 44 20% contribution margin $ 176 80% the company is currently selling 7,000 units per month. fixed expenses are $901,000 per month. the marketing manager believes that a $28,000 increase in the monthly advertising budget would result in a 190 unit increase in monthly sales. what should be the overall effect on the company's monthly net operating income of this change?
Operating income is an accounting term that refers to the amount of profit generated by a company's operations after deducting operating expenses such as wages, depreciation, and cost of goods sold (COGS).So the operating income is $37,500.
Total Revenue - Direct Costs - Indirect Costs = Operating Income. OR, Operating income = gross profit minus operating expenses minus depreciation minus amortisation. OR.
Operating income is calculated as Net Earnings + Interest Expense + Taxes.
Operating income = Contribution margin - Fixed costs
= (7,000 * $176) - $901,000
= $331,000
New operating income = Sales - Variable costs - Fixed costs
= ($220 * 7,300) - ($55 * 7,300) - ($901,000 - $65,000)
= $368,500
Increase in operating income = $368,500 - $331,000
= $37,500
The answer is Increase of $37,500
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Which evasion aids can assist you with making contact?.
Answer:
Blood Chit
Pointee-Talkee
Explanation:
The evasion which aids and can assist with making the contact is Blood chit. Thus, the correct option is C.
What is Blood Chit?Blood Chit is the common term for the written notice, in the several languages which are carried by Marine aircrews in combat. If their aircraft is shot down, then the notice (1) identifies the Americans and (2) It encourages the local population to assist them.
The concept of Blood Chit is over 200 years old. Jean-Pierre Blanchard is the famous French balloonist who came to America in the year 1793 to demonstrate hot air balloon flight. He would ascend from Philadelphia. Where he would come down, of course, no one knew. And, also Blanchard did not speak English language. George Washington, U.S. President, gave Blanchard a letter addressed to all the citizens of the United States. The letter asked that Blanchard be befriended and given safe passage back to Philadelphia.
Therefore, the correct option is C.
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Your question is incomplete, most probably the complete question is:
What needs to make contact with the local population. Which evasion aids can he use to help him make contact?
a. Signaling devices (incorrect)
b. Pointee-Talkee (correct)
c. Blood Chit (correct)
d. Camouflage (incorrect)
HURRY!!! #15
What percent of U.S. jobs are currently generated by the service industry?
90 percent
60 percent
70 percent
80 percent
can someone please answer these
Answer: They will be losing money because there company borrowed 25,000$ and lost about 7-8%
Explanation:
Freight Absorption Price Definition
Freight-absorption price is a geographical pricing technique in which the vendor consumes all or a portion of the transport costs to win the business. The vendor may believe that if it can increase business, its overall rates will fall, more than making up for the additional freight cost. This pricing model is used to gain market share and retain market share in extremely competitive market places.
Freight Absorption Price Definition- A pricing method in which the manufacturer bears some or all of the freight costs involved in transporting the goods to the customer.
What is absorption pricing?The pricing method also referred to as full costing is absorption pricing. It requires recording both fixed and variable expenses related to producing a certain cost per unit of the product. Absorption pricing, like many other tactics, aims to ascertain the highest cost to guarantee a healthy profit margin. In one month, a corporation produces 10 tons of its product. Out of the 10,000 units manufactured, 8,000 are sold in that month, leaving 2,000 in stock. $5 worth of direct supplies and labor are needed for each unit. The production facility also requires fixed monthly overhead costs of $20,000 per month. Allocating fixed overhead expenses to each unit produced throughout the accounting period is what absorption costing requires. All of the variable direct expenses associated with COGS are included in variable costing, but direct, fixed operational expenses are not.
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2. Where does Steve Jobs’ power and influence come from?
Answer:
working with apple and creating the mac
Explanation:
Why are file naming conventions essential?
A. So that data entry workers do not have to learn new systems with
every new position.
B. To make it easy to copy files for backup storage.
C. So that companies can easily share files with other companies.
D. Without everyone using the same system, it would be impossible
to know locate folders or files.
Answer:
D. Without everyone using the same system, it would be impossible
to know locate folders or files.
Explanation:
form a correct sentence by unscrambling the following sentence en el espanol hay vocales cinco
Answer:
its option c
Explanation:
just found it the other guy is also correct