Technicians are generally allowed to perform tasks such as data entry and product dispensing. However, one task that they are typically not allowed to do is verification (option a).
Verification involves checking the accuracy and appropriateness of medications and dosages before they are given to patients. This responsibility is often reserved for pharmacists, who have undergone more extensive education and training.
Pharmacists possess the necessary knowledge to identify potential drug interactions, contraindications, and dosing errors. While technicians play a crucial role in the pharmacy workflow, it is essential to have a pharmacist perform the verification step to ensure patient safety and the highest quality of care.
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5. Which of the following statements is true about credits?
a) Credits show an increase in what a company owns or a decrease in what it owes.
b) A credit to an asset account shows a decrease.
c) A credit to a liability account shows an increase.
d) Credits show a decrease in what a company owns or an increase in what it owes.
HELPPPP!!!! WILLL GIVE BRAINLEST!!!
It allows you to rent a car while yours is being repaired. a. auto replacement c. personal damage liability b. comprehensive physical damage d. rental reimbursement
Answer:
I'm pretty sure the answer is d
Explanation:
Alternatively, you may pay out-of-pocket for your rental then seek reimbursement from the other insurance company once it completes its investigation.
Answer:
D
Explanation:
You are considering buying a building in downtown Asheville. The building is selling for $10 million, and you anticipate an annual FCF of $1 million. At the end of 10 years, the building will be half depreciated, and at this point you think you can sell the building for $15 million. If your cost of capital is 17%, does the building have positive NPV? Assume a 20% capital gains tax on the sale of the building in 10 years; income taxes and depreciation tax shields have been included in the annual FCF of $1 million
The building has a positive NPV and is a good investment opportunity based on our assumptions
To determine whether the building has a positive net present value (NPV), we need to calculate the present value of the expected future cash flows and subtract the initial cost of the building.
First, we need to calculate the cash flows for each year. We know that the annual free cash flow (FCF) is $1 million, and that the building will be sold for $15 million at the end of 10 years, but we also need to account for the capital gains tax. The capital gains tax is 20% of the capital gain, which is the difference between the sale price and the half-depreciated value of the building. The half-depreciated value of the building is $10 million / 2 = $5 million, so the capital gain is $15 million - $5 million = $10 million, and the capital gains tax is 20% of $10 million = $2 million.
Year 1-9:
FCF = $1 million per year
Year 10:
Sale Price = $15 million
Capital Gains Tax = $2 million
Net Sale Proceeds = $15 million - $2 million = $13 million
Next, we need to calculate the present value of each cash flow. We can use the formula:
PV = FCF / (1 + r)^n
where r is the cost of capital (17%) and n is the number of years.
Year 1-9:
PV = $1 million / (1 + 0.17)^n = $1 million / 6.75 = $148,148.15 (rounded)
Year 10:
PV of Net Sale Proceeds = $13 million / (1 + 0.17)^10 = $2,499,342.19 (rounded)
Now we can calculate the NPV:
NPV = sum of PVs - initial cost of building
NPV = ($148,148.15 x 9) + $2,499,342.19 - $10 million
NPV = $1,735,333.34
Since the NPV is positive, the building has a positive NPV and is a good investment opportunity based on our assumptions. However, it's important to note that this analysis is based on several assumptions, and actual results may differ. It's always a good idea to conduct a thorough analysis and consider various scenarios and risks before making any investment decisions.
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What is a subcontractor
Answer:
business or person that carries out work for a company as part of a larger project.
Explanation:
A hun
Which statement is true?
online credit is more expensive than bank credit
online credit is less expensive than bank credit
online credit and bank credit are equally expensive
online credit is harder to obtain than bank credit
Answer:
online credit is less expensive than bank credit
Explanation:
Online lenders are likely to charge lower rates than banks due to the differences in operating expenses. Online lenders do not incur the cost of operating from a physical building, such as rent and maintenance. They do not have high employee cost as compared to banks. Due to these reasons, online lenders charge lower fees and lower interest rates.
Sometimes online loans appear expensive, but it's because they are unsecured loans. A close comparison between different types of loans will show online lenders offer cheaper loans.
____________________ is a data transfer service that can connect your business to another business (or businesses) using a standard ethernet connection.
Answer:
Metro Ethernet
Explanation:
to connect business to another business
what does a high employment rate include?
Your pay rate is $18 per hour and you have worked 50 hours for the first week of the pay period and 50 hours for the second week of the pay period. Reminder: Your regular work hours is 40 hours for the week and you get paid bi-weekly and time and a half is paid for overtime hours. Calculate your gross pay.
Answer:
$1,260
Explanation:
$18 is the rate of pay for 40 hrs/week
$27 is the rate of pay for the extra 10 hrs/week (18 + 9)
A total of 100 hours for the pay period, 80 of those are 18/hr, 20 are 27/hr
40(18) + 20(27) = 720 + 540 = 1260
Please let me know if you have any questions.
English
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Jayci
Sontext section for
According to O*NET, what are common work contexts
for Chefs and Head Cooks? Check all that apply.
toward the top, and
-d the bottom.
o spend time keeping or regaining balance
importance of being exact or accurate
exposed to high places
o spend time standing
responsibility for outcomes and results
responsible for others' health and safety
Answer:
● Check the freshness of food and ingredients.
● Supervise and coordinate activities of cooks and other
food preparation workers.
● Develop recipes and determine how to present dishes.
● Plan menus and ensure the quality of meals.
Explanation:
summer camps, fitness and recreational sports centers, nursing care facilities, nature parks, and other settings.
Answer:
According to O*NET, what are common work contexts for Chefs and Head Cooks? Check all that apply.
-importance of being exact or accurate
-spend time standing
-responsibility for outcomes and results
-responsible for others’ health and safety
Explanation:
Two new software projects are proposed to a young, start-up company. The Alpha project will cost $590.000 to develop and is expected to have annual net cash flow of $60,000 : The Beta project will cost $110,000 to develop and is expected to have annual net cash flow of $13,500. The company is very concemed about their cash flow. Calculate the payback period for each project. Which project is better from a cash flow standpoint? (Round your answers to 2 decimal ploces)
Given that two software projects are proposed to a young, start-up company. The cost of the Alpha project is $590,000, and it is expected to have an annual net cash flow of $60,000. On the other hand, the Beta project costs $110,000, and its annual net cash flow is $13,500.
The payback period formula is: Payback period = Initial investment / Annual net cash inflows Let's start with the payback period calculation for the Alpha project:Payback period = $590,000 / $60,000 Payback period = 9.83 years Rounding to two decimal places, the payback period for the Alpha project is 9.83 years.
Now let's find the payback period of the Beta project:Payback period = $110,000 / $13,500 Payback period = 8.15 years Rounding to two decimal places, the payback period for the Beta project is 8.15 years.The better project from a cash flow standpoint is the Beta project as it has a lower payback period. Therefore, the Beta project should be chosen over the Alpha project.
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Palmona Company establishes a $310 petty cash fund on January 1. On January 8, the fund shows $205 in cash along with receipts for
the following expenditures: postage, $43; transportation-in, $14; delivery expenses, $16; and miscellaneous expenses, $32. Palmona
uses the perpetual system in accounting for merchandise inventory.
1. Prepare the entry to establish the fund on January 1.
2. Prepare the entry to reimburse the fund on January 8 under two separate situations:
a. To reimburse the fund.
b. To reimburse the fund and increase it to $360. Hint. Make two entries.
The entry to establish the fund on January 1 is: Debit Petty Cash Fund 310, Credit Cash 310
How to prepare journal entry?1. Entry to establish the fund on January 1:
Debit Petty Cash Fund 310
Credit Cash 310
2a. Entry to reimburse the fund on January 8:
Debit Postage Expense 43
Debit Transportation-In Expense 14
Debit Delivery Expense 16
Debit Miscellaneous Expense 32
Credit Cash 105
2b.8-Jan
Debit Petty Cash $255
($360 - $105)
Credit Cash $255
(Being increment of petty cash recorded)
Therefore the entry is Debit Petty Cash Fund 310, Credit Cash 310.
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A manufacturer of college textbooks is interested in estimating the strength of the bindings produced by a particularbinding machine. Strength can be measured by recording the force required to pull the pages from the binding. If thisforce is measured in pounds, how many books should be tested to estimate the average force required to break thebinding to within. 1 lb with 95% confidence? Assume that o is known to be. 8
The number of books that should be examined to determine the average force necessary to break the binding to within 0.1 lb with 95% confidence if this force is measured in pounds is 246 books.
The test statistic multiplied by the standard error yields the margin of error, which displays the deviation from the sample mean. If the margin of error and the standard deviation are provided, we may also utilize this information to determine the sample size. The following is the formula to determine the sample size:
n = {[n (α/2) * σ] / E}²
Here, E is the margin of Error
The population standard deviation is stated as 0.8, the margin of error is given as 0.1, and the confidence level is 95%.
The sample size can be determined as follows:
n = {[n (α/2) * σ] / E}²
n = [(1.96 * 0.8) / 0.1]²
n = (1.568 / 0.1)²
n = (15.68)²
n = 245.68 ≅ 246
The Excel function = NORMSINV yields the crucial number in this case (0.025)
The number of books that should be tested in order to determine the average force needed is 246.
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what amount did kimberly withdraw, assuming the investment earns interest compounded annually? (round answer to 2 decimal places, e.g. 25.25.)
(a) With simple interest the amount Kimberly withdrew is $15,400. (b) With compound interest the amount Kimberly withdrew is $16,894.70.
(a) To calculate the amount Kimberly withdrew with simple interest, we use the formula:
Simple Interest = Principal × Rate × Time.
Principal = $10,000
Rate = 6% = 0.06
Time = 9 years
Simple Interest = $10,000 × 0.06 × 9 = $5,400
Total amount = Principal + Simple Interest = $10,000 + $5,400 = $15,400
The amount Kimberly withdrew with simple interest is $15,400.
(b) To calculate the amount Kimberly withdrew with interest compounded annually, we use the formula:
Compound Interest = Principal × (1 + Rate)^Time.
Principal = $10,000
Rate = 6% = 0.06
Time = 9 years
Compound Interest = $10,000 × (1 + 0.06)^9 = $10,000 × 1.68947 ≈ $16,894.70
The amount Kimberly withdrew with interest compounded annually is $16,894.70 (rounded to 2 decimal places).
Note: The question is incomplete. The complete question probably is: Kimberly Altidore invested $10,000 at 6% annual interest, and left the money invested without withdrawing any of the interest for 9 years. At the end of the 9 years, Kimberly withdrew the accumulated amount of money. (a) What amount did Kimberly withdraw, assuming the investment earns simple interest? The amount Kimberly withdrew (b) What amount did Kimberly withdraw, assuming the investment earns interest compounded annually? (Round answer to 2 decimal places, e.g. 25.25.) The amount Kimberly withdrew $
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This barrier of trade is when trading partners do NO trade with another country:
A. Tariff
B. Quota
C. Embargo
Answer:
C. Embargo
Explanation:
Trade Barriers are the conditions or restrictions that are imposed on the business transactions that controls the business to be sold out to the hands of foreign markets. These barriers add obstacles so that the businesses are restricted through various means. When a complete ban is imposed on the import or export of any goods to the foreign markets, the situation is termed as embargo. This type of ban is imposed for the defense purposes.
In a growing industry, the mean number of hours of productivity lost by employees per week due to online social media engagement is 10 hours, with a standard deviation of 1.9 hours. Note: Assume the population data is normally distributed. a. What is the probability that an employee will lose more than 12 hours of a. What is the probability that an employee will lose more than 12 hours of productivity due to online social media engagement? P(X>12)= Round to four decimal places if necessary Round to four decimal places if necessary b. What is the probability that 8 employees will lose more than 11 hours of prodüctivity due to online social media engagement? P(
X
>11)= Round to four decimal places if necessary
The mean number of hours of productivity lost by employees per week due to online social media engagement in a growing industry is 10 hours, with a standard deviation of 1.9 hours.
Let's solve the given problems:
a) What is the probability that an employee will lose more than 12 hours of productivity due to online social media engagement?
P(X > 12)The formula for calculating the Z-value is given by:
Z=(X- μ)/ σ
Where, X = 12 hours
μ = 10 hours
σ = 1.9 hours
Now, we substitute the given values in the formula and get,
Z=(X- μ)/ σ
Z=(12- 10)/ 1.9
Z= 1.05
Using the Z-table, we find the probability that an employee will lose more than 12 hours of productivity due to online social media engagement as
P(X > 12) = P(Z > 1.05)
= 0.1469
Therefore, the probability that an employee will lose more than 12 hours of productivity due to online social media engagement is 0.1469 (rounded to four decimal places).
b) What is the probability that 8 employees will lose more than 11 hours of productivity due to online social media engagement?
Here, n = 8
X = 11 hours
μ = 10 hours
σ = 1.9 hours
The formula for calculating the Z-value is given by:
Z=(X - μ)/ (σ/ √n)
Now, we substitute the given values in the formula and get,
Z = (X - μ) / (σ / √n)
Z = (11 - 10) / (1.9 / √8)
Z = 1.53
Using the Z-table, we find the probability that eight employees will lose more than 11 hours of productivity due to online social media engagement as
P(X > 11) = P(Z > 1.53)
= 0.0636
Therefore, the probability that eight employees will lose more than 11 hours of productivity due to online social media engagement is 0.0636 (rounded to four decimal places).
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Use the following information and the percent-of-sales method to Answer questions. Below is the 2019 year-end balance sheet for Banner, Inc. Sales for 2019 were $1,600,000 and are expected to be $2,000,000 during 2020. In addition, we know that Banner plans to pay $90,000 in 2020 dividends and expects projected net income of 4% of sales. (For consistency with the Answer selections provided, round your forecast percentages to two decimals.)
Banner, Inc. Balance Sheet
December 31, 2019
Assets
Current assets $890,000
Net fixed assets 1,000,000
Total $1,890,000
Liabilities and Owners’ Equity
Accounts payable $160,000
Accrued expenses 100,000
Notes payable 700,000
Long-term debt 300,000
Total liabilities 1,260,000
Common stock (plus paid-in capital) 360,000
Retained earnings 270,000
Common equity 630,000
Total $1,890,000
Banner’s projected current assets for 2020 are:
a. $1,500,000.
b. $1,000,000.
c. $1,120,000.
d. $1,260,000.
The projected current assets for 2020 for Banner, Inc. would be approximately $1,112,500.
Given the information provided, we know that the net income is expected to be 4% of sales. This means that 4% of the projected sales for 2020 will contribute to net income.
Projected net income = 4% of projected sales = 0.04 * $2,000,000 = $80,000
To calculate the projected current assets, we need to determine the historical relationship between current assets and sales. This can be done by examining the balance sheet from 2019:
Current assets in 2019 = $890,000
Sales in 2019 = $1,600,000
Current assets as a percentage of sales in 2019 = Current assets / Sales = $890,000 / $1,600,000 ≈ 0.55625
Now, we can use this historical relationship to forecast the current assets for 2020:
Projected current assets for 2020 = Current assets as a percentage of sales * Projected sales
Projected current assets for 2020 = 0.55625 * $2,000,000 ≈ $1,112,500
Therefore, the projected current assets for 2020 for Banner, Inc. would be approximately $1,112,500.
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a) Most banks are making significant investments in mobile systems to deliver a range of types of business value. Discuss the main types of technologies available for use in mobile banking. b) How Customer Relationship Management Systems (CRM) can help in managing an organization’s relationship with its customers.
CRM systems help businesses build and maintain strong relationships with their customers by enabling effective communication, personalized experiences, and a deeper understanding of customer preferences and needs.
a) The main types of technologies available for use in mobile banking include:
1. Mobile Applications (Apps): Banks develop mobile apps that customers can download and install on their smartphones or tablets. These apps provide a user-friendly interface for customers to access various banking services, such as checking account balances, transferring funds, paying bills, and applying for loans.
2. Mobile Web Banking: Banks also offer mobile web banking, which allows customers to access banking services through web browsers on their mobile devices. This approach provides flexibility as customers can use any internet-enabled device without the need for specific app installations.
b) Customer Relationship Management Systems (CRM) can help in managing an organization's relationship with its customers by:
1. Customer Data Management: CRM systems enable businesses to collect, store, and organize customer data in a centralized database. This data can include contact information, purchase history, preferences, and interactions with the organization. By having a comprehensive view of customer data, businesses can better understand their customers' needs, preferences, and behaviors.
2. Customer Segmentation and Targeting: CRM systems allow businesses to segment their customer base based on various criteria, such as demographics, purchase history, or preferences. By segmenting customers, businesses can tailor their marketing and communication strategies to target specific customer groups effectively.
3. Sales and Opportunity Management: CRM systems provide tools for managing the sales process and tracking customer interactions throughout the sales pipeline. Sales teams can use CRM to capture leads, track sales opportunities, and monitor the progress of deals. This helps in improving sales forecasting, identifying bottlenecks, and streamlining the sales process.
4. Customer Service and Support: CRM systems enable businesses to manage customer service interactions, track customer inquiries, and provide timely support. By having access to customer information and interaction history, customer service representatives can deliver personalized and efficient support, resulting in improved customer satisfaction.
5. Customer Analytics: CRM systems offer analytics capabilities that allow businesses to gain insights into customer behavior, trends, and patterns. By analyzing customer data, businesses can identify cross-selling and upselling opportunities, anticipate customer needs, and make data-driven decisions to enhance the customer experience.
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If an owner of real property dies without leaving a will and with no legal heirs, what will generally happen to the property
If a person dies without any relatives from class 1 or class 2 heirs' list then the property is lapsed to the state Government.
Kinship is defined in anthropology as the network of social interactions that form an integral component of the lives of all humans in all civilizations, however its exact implications are sometimes challenged even within this subject.
Kinship can refer to both patterns of social connections and the study of patterns of social interactions in one or more human cultures. In the study of kinship, anthropology has produced a variety of related ideas and terminologies over time, including descent, descent group, lineage, affinity/affine, consanguinity/cognate, and fictive kinship.
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ExpIain what is meant by the term dominant allele
Answer:
A dominant allele is a variant of a gene overriding another variant on the same gene, usually expressed with a capital letter, like AA or Aa
Explanation:
A free market economy supports which market structure by establishing antitrust
laws and encouraging anyone to become a business owner?
O monopolistic competition
oligopoly
sole proprietorship
O monopoly
Answer:
monopolistic competition
Explanation:
A monopolistic competition is a type of market structure where many suppliers exist, as well as many buyers. What distinguishes it from perfect competition is that the goods and services are heterogeneous, therefore, suppliers are not price takers. Barriers to entry are also low.
The country of Caspir produces only cereal and milk. Quantities and prices of these goods for the last several years are shown in the following table. The base year is 2015.Year Cereal MilkPrice Quantity Price Quantity(Dollars per box) (Boxes of cereal) (Dollars per gallon) (Gallons)2015 4.00 100 1.50 1802016 4.00 120 2.00 2002017 5.00 150 2.50 2002018 6.00 180 3.50 240Refer to Table 23-4. This country's inflation rate from 2016 to 2017 wasa. 23.1%. b. 26.1%. c. 18.8%. d. 25.0%.
This country's inflation rate from 2016 to 2017 was 25.0%. The correct answer is option d. 25.0%.
What is inflation?Inflation is the sustained increase in the general price level of goods and services in an economy over a period of time. It erodes purchasing power, as each unit of currency buys fewer goods and services; a process referred to as currency devaluation. Central banks attempt to limit inflation and stabilize currency by implementing monetary policies.
The inflation rate can be calculated as the percentage change in the price level from one year to another. To calculate the inflation rate from 2016 to 2017, we can use the following formula:
Inflation rate = (Price in 2017 - Price in 2016) / Price in 2016 * 100
For cereal:
Price in 2016 = $4.00 per box
Price in 2017 = $5.00 per box
Inflation rate = ($5.00 - $4.00) / $4.00 * 100 = 25.0%
For milk:
Price in 2016 = $2.00 per gallon
Price in 2017 = $2.50 per gallon
Inflation rate = ($2.50 - $2.00) / $2.00 * 100 = 25.0%
As both the inflation rates for cereal and milk are 25.0%, the average inflation rate for the country from 2016 to 2017 is also 25.0%.
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What do limited partners in a
business give up? What do they gain?
Answer:
In return for giving up management power, limited partners get the benefit of protection from personal liability.
Explanation:
whats the biggest risk in starting your own business
Answer:
Abandoning the steady paycheck. ...
Sacrificing personal capital. ...
Relying on cash flow. ...
Estimating popular interest. ...
Trusting a key employee. ...
Betting on a crucial deadline. ...
Donating personal time (and health).
What is the research and development department?
Research and development (R&D) activities are characterized as imaginative and methodical labor carried out to add to the body of information, including an understanding of people, culture, and society, and to create new applications based on the knowledge already in existence.
For progress to be meaningful, research is essential. Development efforts would be pointless without research. Depending on the demands that already exist and the desired outcomes, many types of research may be done.
The outcomes will be more accurate and dependable the more rigorous the study design and thorough implementation. By offering market insights and creating new services/products or upgrading existing ones in response, an R&D department's job is to keep a corporation competitive.
The R&D division will play a significant role in how the company expands in the future. A variety of duties will fall under the purview of the R&D division.
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Which of the following will be accomplished by efficient allocations of the factors of production?
guaranteeing economic success
understanding whether a product will fail
fulfilling many needs and wants of society
replenishment of limited resources
Answer:C
Explanation: Just took the test:)
What will be accomplished by efficient allocations of the factors of production is fulfilling many needs and wants of society
What are factors of production?factors of production can be regarded as those factor that make production possible such as capital and land.
Therefore, fulfilling many needs and wants of society is one of beauty of production.
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Write about the three motivational theorists. (Herzberg, Maslow and Taylor)
There are three influential theorists who have made significant contributions to the understanding of motivation in the workplace: Frederick Herzberg, Abraham Maslow, and Frederick Taylor.
Frederick Herzberg was a renowned psychologist and management theorist known for his contributions to the understanding of employee motivation. He developed the two-factor theory, also known as the motivation-hygiene theory or dual-factor theory. According to Herzberg, there are two sets of factors-- hygiene factors and motivators that influence employee satisfaction and motivation.
Abraham Maslow was a prominent psychologist who proposed the hierarchy of needs theory. Maslow's theory suggests that individuals have a hierarchy of needs that must be fulfilled in a specific order to achieve motivation and self-actualization.
Frederick Taylor, often referred to as the father of scientific management, focused on improving productivity and efficiency in the workplace. His theories emphasized the scientific study of work processes and the implementation of standardization and specialization.
Overall, these three motivational theorists—Herzberg, Maslow, and Taylor contributed valuable insights into understanding what drives individuals in the workplace, whether through job enrichment, the fulfillment of hierarchical needs, or the optimization of productivity and efficiency.
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Alejandro Yago leased a Jeep for $209.00 per month for 60 months.He paid a deposit of $850.00, a title fee of $45.00, and a license fee of $60.00. The lease carried a stipulation charging $0.12 per mile for all miles over 60,000. Alejandro drove the Jeep 73,524 miles. What is the total cost of leasing the vehicle?
Answer:
$14,267.88
Explanation:
The total cost of hiring the Jeep will consist of
1). Monthly costs of leasing: $209 x 60 = $12,540
2). Title fee =$45.00
3). License fee =$60.00
4). Stipulation charging : ( 73,524 - 60,000) x $0.12
=$13,524 x $0.12
=$1,622.88
Total cost =$12,540 +$45.00 +$60.00 +$1,622.88
Total cost = $14,267.88
Tickets to a fundraiser are $14 if purchased ahead of time and $25 if purchased at the door. The total amount raised from all ticket sales was $625. If eleven tickets were purchased at the door, how many tickets were purchased ahead of time?.
What are wholesalers
Answer:
Wholesaler is a company that earns money by buying large quantities of goods then selling in bulk to smaller businesses.
Hope this help :)
Answer:
Wholesalers are companies or businesses that buy large quantities of products from other companies, then resell the products in bulk or individually.
Explanation:
Examples; Costco Wholesale & Sam's Club
How do the events of the nation affect the national debt?
Answer: Growing debt has a direct effect on economic growth and the opportunities available to every individual in the country. If excessive levels of debt crowd out private or public or mutual investments in capital goods or works, workers would have less to use and get from their jobs, which would translate to lower productivity work and, therefore, lower wages in multiple aspects of the country's work done. High levels of debt would affect many other aspects of the economy in the future. For eq, higher interest rates result from increased borrowing from multiple agencies and invite under the various segments of college education house loan work loan. Less education and work opportunities will need skills up for various degrees and work to be followed under any scheme.
Explanation:
If we fail to act before a stipulated time the long time fiscal challenges will remain unaddressed and unchanged. The economic crisis and the overall economic environment weaken as confidence suffers, the access to capital funds gets reduced, interest costs crowd out key investments in our future, the conditions for growth deteriorate, and our nation is put at greater risk of economic crisis. If our long-term fiscal imbalance is not addressed, our future economy will be minimized, with fewer economic opportunities for families and workers down there in their own country.