Answer:
higher than
Explanation:
An increased interest rate of the Japanese yen will help to strengthen the yen against the dollar.
This means that increased interest rates bring out higher gains which strengthen the currency of japan as against the on of the united states.
Cheers.
Police are investigating the site of a convenience store robbery. The glass door was
broken, and it looks as if several packages of cigarettes are missing from behind the
counter. One police officer notices a man walking past the store and gets an odd
feeling about him. He stops the man and insists on searching his pockets. Inside the
man's pockets, police find several packs of cigarettes. They arrest the man and
charge him with the crime. Unfortunately, the judge throws out the charges. What is
MOST likely the judge's reason for dismissal?
A-The man is under 18 years old.
B-The man did not have money to post bail.
C-The policeman did not have probable cause to search the man.
D-The policeman did not have enough evidence that the man was the robber.
The MOST likely judge's reason for dismissal is the policeman did not have enough evidence that the man was the robber. Thus the correct option is D.
What is Robbery?Theft or robbery is defined as the stealing of someone else's property without their permission and using force or a threat of force that exhibits fear in them to perform any action against them.
To prove a crime against someone requires one to submit enough evidence which helps to establish the claim as the justice system is based on evidence not on arguments.
In the given case, police found the activity of the men suspicious as they found cigarette packets from him. There is no evidence that he has stolen the cigarette packets might be possible he has purchased them.
So due to a lack of evidence against the person the Judge dismissal the case. Therefore, option D is appropriate.
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you have paid for three months of storage on the first month. how should you record the payment? answer: a. rent expense a. prepaid rent c. asset d. credit card
You have paid for three months of storage on the first month. a. rent expense should you record the payment.
The time period “profits” generally refers to the amount of cash, assets, and other transfers of price acquired over a hard and fast time period in change for services or products. profits is money that an person or enterprise receives in alternate for presenting exertions, generating a good or service or making an investment capital.
Individuals normally earn profits through wages or income, even as businesses earn earnings from promoting items or services above their value of manufacturing.
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_____ _____ is a way to see if your product is meeting the needs of your customers.
A customer with $30,000 to invest places $10,000 in Investment A; $10,000 in Investment B; and $10,000 in Investment C. During the course of 1 year, Investment A pays 2% in dividends; Investment B pays 7% in dividends; and Investment C pays no dividends. At the end of the year, Investment A is sold for $10,600; Investment B is sold for $9,200; and Investment C is sold for $9,300. The Total Return on Investment is: A 0% B 3% C 5% D 6%
Answer:
The correct answer is A. Total return on investment is 0%.
Explanation:
Given that the consumer will invest his $ 30,000 in three different funds, with investment A paying dividends of 2%, investment B for 7% and investment C without paying dividends, the result of said investment after a year of duration will be as follows:
Investment A will award dividends of $ 200 (10,000 x 0.02)
Investment B will award dividends of $ 700 (10,000 x 0.07)
Investment C will not pay dividends.
Thus, the total return on investment will be $ 900.
Additionally, after this year the investor will sell said investments:
Investment A will be sold for $ 10,600, Investment B will be sold for $ 9,200 and Investment C for $ 9,300, totaling $ 29,100.
Said amount, added to the total annual return, gives us a total after investments and sales of $ 30,000, with which the total return after the investment and sale operation is $ 0, or 0% of the initial amount.
Respond to this discussion post in a positive way in 5-7 sentences
European Commission: This level proposes, but does not vote or decide, on laws and legislation, and is the only entity to do so. It is made of one representative ("commissioner") from each member state. Council of the European Union: This level is made of representatives of the governments of each member state, one per country. This council votes on laws along with the European Parliament. It is typically equal with the Parliament but in some special cases is the major body deciding on legislation, with the Parliament only consulting. European Parliament: This level is made of representatives that are elected directly by EU citizens every five years, and the number of representatives from each country is proportional to the population of their respective country. These representatives vote on laws, along with the Council of the EU. It can amend recommendations from the Commission, especially if the Council of the European Union disagrees with the recommendation as-is. It is typically equal to the Council of the EU, but in some special cases, can only consult the Council of the EU. European Court of Justice: This entity is made of one representative judge from each member state, and is made to ensure that member states are following the laws of the EU. Together with the European General Court, it makes up the Court of Justice of the European Union. This court issues preliminary rulings upon request from national courts, as well as handling certain appeals and annulments for these courts. European General Court: This entity is part of the CJEU, along with the European Court of Justice. It is made of two representative judges from each member state. This court directly deals with annulments raised by individuals, companies, or national governments of member states. European Central Bank: This level controls the currency of the EU, along with working to set monetary/economic policy. This helps ensure consistency within the EU, which is especially important given the emphasis on trade and high levels of economic freedom between member states. In general, legislation would start by being proposed by the Commission, then voted on by the Council of the EU and the Parliament in order to determine whether it should be enshrined into law. For judicial rulings, depending on the specific issue at hand and the parties to the rulings, the different entities in the CJEU can issue decisions. If the law in question is regarding monetary policy specifically, then that would be handled at the Central Bank. These organizational levels work together to fulfill many different functions in creating and enforcing EU laws, with the goal of creating a proper system of checks and balances to ensure that any one person or country is not enforcing its interests far above the interests of other EU citizens and member states. The division of power ensures a system of checks and balances, and while each member state has an equal number of representatives in many of the levels, the differing number of representatives per country in the European Parliament serves to give some proportional representation when voting on laws to pass. There are ways to both represent the national governments of the member states, such as in the Council of the EU or through the Court of Justice, and ways to give individuals more of a direct voice, such as through the Parliament or through the General Court.
The discussion post provides a comprehensive overview of the organizational levels within the European Union (EU) and their roles in the legislative and judicial processes.
The EU is structured to ensure a system of checks and balances, with power divided among different entities. The European Commission proposes laws but doesn't have voting or decision-making authority. The Council of the European Union, comprised of representatives from member states, votes on laws alongside the European Parliament.
The Parliament, directly elected by EU citizens, also participates in lawmaking. The European Court of Justice, together with the European General Court, oversees the enforcement of EU laws.
These entities work collaboratively to create and enforce EU laws, aiming to prevent any one country or individual from exerting excessive influence. The distribution of power among member states and the proportional representation of countries in the European Parliament contribute to this balance. National governments are represented in the Council of the EU and the Court of Justice, while individuals have a direct voice through the Parliament and the General Court.
The EU's organizational structure facilitates effective governance, ensuring the interests of all EU citizens and member states are considered. By involving multiple levels and entities, the EU strives to maintain transparency, democratic decision-making, and consistency in areas like monetary policy and economic freedom.
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Disease, poor nutrition, and substandard health care in developing nations can reduce growth in an economy by a) reducing natural resources. b) reducing knowledge capital. c) reducing physical capital. d) reducing human capital.
Disease, poor nutrition, and substandard health care in developing nations can reduce growth in an economy by reducing natural resources. The answer is OPTION A.
In the industrialized world, there is one doctor for every 520 people, while this ratio drops to one doctor for every 15,000 people in the underdeveloped world. In rural places, hospitals are so far apart that it is frequently practically impossible for pregnant women to get to one in time for childbirth.
It is obvious how health has an impact on economic growth. Sustained growth is more difficult to achieve in nations with low health. According to economic data, an increase in economic growth of 0.3–0.4 percentage points annually is correlated with a 10% increase in life expectancy at birth. The answer is OPTION A.
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When the stock market as a whole is rising in value then it is referred to as a bear market. True or false?
Answer: False
Explanation: A bear market is when a market experiences prolonged price declines. It typically describes a condition in which securities prices fall 20% or more from recent highs amid widespread pessimism and negative investor sentiment.
What is the least amount of money a student should receive when doing work
study?
о A. $6 an hour
о B. Federal minimum wage
OC. State minimum wage
D. $7 an hour
SUBMIT
The correct answer is B. Federal minimum wage. The Federal Work-Study program requires that students be paid at least the federal minimum wage, which is currently $7.25 per hour.
Some states have a higher minimum wage rate, so if the state's minimum wage is higher than the federal minimum wage, then the student would need to be paid at the higher state rate.
When there are conflicting minimum wage rates, employers are required to pay the higher rate. It is important to note that some types of workers, such as tipped employees and workers with disabilities, may have a different minimum wage rate under certain circumstances.
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Which career is best suited for people who have a high school diploma?
- Administration and information support.
- Human resources.
- Business financial management and accounting.
- Business analysis.
Answer:
It should be Human resources because it is the least technical compared to the other three options.
According to the law of supply what's the result of an increase in the supply of workers for a job if all other factors remain equal?
Answer:
According to the law of supply, an increase in the supply of workers for a job if all other factors remain equal means the company wants to be efficient and it is also proof that the company is making more profit which signals the demand for the commodities they produced as increased drastically.
Explanation:
The law of supply work in the dimension of price, the number of goods available in the market, and it is hugely affected by demand. Now, when the price of goods decreases, it makes production by producers decrease as well and staffs are also laid off to avoid profit loss by the producers. This changes when the price of commodity increases as it makes producers of the commodity have the capacity to employ more staff to maximize time and this also causes the producers to increase sales. However, the higher demand for a commodity would also increase the supply of that commodity.
Answer:
The wage rate for that job will be pushed down.
Explanation: I just took the test and got it right
Which tools allow economists to determine if the allocation of resources determined by free markets is desirable?.
During 20X1, the department store had total sales of $1,070,000, of which 90% were on credit. The beginning balance in Accounts Receivable (on January 1, 20X1) was $70,300. The beginning balance in the Allowance for Bad Debts (on January 1, 20X1) was $13,000. The amount of accounts written off as uncollectible during the year was $15,600.
The following aging of Accounts Receivable is for the department store at the end of 20X1:
Aging of Accounts Receivable December 31, 20X1
Fewer than 30 days $185,000
31 to 60 days $51,000
61 to 90 days $19,000
Over 90 days $13,000
Total $268,000
The department store has developed the following bad debt information from its own past experience:
Age of Accounts / Percent Ultimately Uncollectible
Fewer than 30 days 1%
31 to 60 days 11%
61 to 90 days 32%
Over 90 days 90%
The department store uses the aging method to determine its ending Allowance for Bad Debts balance. Which ONE of the following is included in the journal entry necessary at the end of the year to record Bad Debt Expense?
A DEBIT to Bad Debt Expense for $25,240.
A DEBIT to Allowance for Bad Debts for $25,240.
A DEBIT to Accounts Receivable for $25,240.
A CREDIT to Accounts Receivable for $27,840.
A CREDIT to Bad Debt Expense for $27,840.
A CREDIT to Allowance for Bad Debts for $27,840.
The journal entry necessary at the end of the year to record Bad Debt Expense is a DEBIT to Bad Debt Expense for $25,240.
The Bad Debt Expense represents the estimated amount of accounts receivable that is unlikely to be collected. In order to match the expense with the revenue generated from credit sales, the company needs to record the appropriate amount as an expense in the financial statements.
To determine the ending balance of the Allowance for Bad Debts, the department store uses the aging method, which considers the different age categories of accounts receivable and applies the corresponding percentage of ultimate uncollectibility.
Based on the given aging of accounts receivable and the percentages provided, we can calculate the amount of uncollectible accounts for each age category:
- Fewer than 30 days: $185,000 x 1% = $1,850
- 31 to 60 days: $51,000 x 11% = $5,610
- 61 to 90 days: $19,000 x 32% = $6,080
- Over 90 days: $13,000 x 90% = $11,700
Adding up these amounts, we get a total of $25,240, which represents the estimated bad debt expense for the year. Since bad debt expense is an expense account, it is debited in the journal entry.
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Can anyone here help me with a P.O.B sba??
Please
Answer:
que
Explanation:
The current market price of a share of Disney stock is $60. If a put option on this stock has a strike price of $65, the put
can be exercised profitably.
is out of the money.
is out of the money and can be exercised profitably.
is in the money and can be exercised profitably.
is in the money.
correct answer to the question is: the put option is currently out of the money, but it has the potential to be in the money and exercised profitably if the stock price declines below the strike price of $65.
A put option is a financial contract that gives the buyer the right, but not the obligation, to sell a particular asset, such as a stock, at a predetermined price, known as the strike price, within a specified time period. When the current market price of the stock is lower than the strike price of the put option, the put option is said to be "in the money." Conversely, when the current market price of the stock is higher than the strike price of the put option, the put option is said to be "out of the money."In this case, the current market price of a share of Disney stock is $60, and the strike price of the put option is $65. Therefore, the put option is currently "out of the money," as the stock price is lower than the strike price. However, if the stock price were to fall below the strike price of $65, the put option would become "in the money," as the holder of the put option could sell the stock at the higher strike price and realize a profit. Thus, the put option is currently "out of the money," but it has the potential to be "in the money" and exercised profitably if the stock price declines.
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What impact will higher wages have on the labor force participation of women? 
Young black women with college degrees had the highest lifetime incomes but lower labor force participation rates.
In comparison to men, women have fewer opportunities to make money globally. Women are less likely to actively search for work or do paid labor. Compared to 80% of men, only slightly more than 50% of women in the world work. People's labor force involvement varies depending on demographic parameters such sex, birth year, education, marital status, and the presence of young children at home. Low female labor force participation in India is a complex socioeconomic phenomenon caused by factors like rural-urban migration, patriarchal attitudes, and an imbalance in supply and demand. Wages Increase for Men and Women When More Women Work. based on data from 250 U.S. cities over 30 years. The greatest major economic shift during the previous century was probably the rise of women in the paid employment.
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What step is most important for sellers to focus on.
The step that is most important for sellers is to focus on Identifying customers with lifetime value.
Who is a seller?A seller can be regarded as the part of distribution channel that made the goods from producer to be available to consumers.
However, he must focus on Identifying customers with lifetime value.
Therefore, option C is correct.
CHECK THE COMPLETE QUESTIONS
What step is most important for sellers to focus on?
A: Keeping all customers at all cost
B: Keeping loyal customers and forgetting about the others
C: Identifying customers with lifetime value to the seller
D: Working to attract new customers regardless of the costs
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Which steps are parts of doing a cost benefit analysis check all that apply: predicting costs, identifying outcomes, comparing costs, calculating cost, or delaying decisions
Answer:
Identifying Outcomes
Comparing Costs
Calculating Costs
Explanation:
Cost benefit analysis is a method which is used in decision making process to identify the best option available in financial terms. It helps in finacial value of any decision by considering its posssible expenses and advantages. The first step involved is to identify the outcome in financial value which is the consideration of cash outflow and inflow. The second step is to calculating the cost of options available. Now the third and last step is to comparing the results and opting the option with most benefits.
Answer:
Identifying Outcomes
Comparing Costs
Calculating Costs
Explanation:
Just the test
An income statement reports information over a period of time, indicating the financial progress of a business in earning a net income or net loss. (PG 182)
Answer:
True
Explanation:
An income statement is among the three important financial statements that a business prepares at the end of every financial year. It is divided into three main sections of revenues, expenses, and income.
The revenue section lists all sources of revenues and any adjustments to obtain the net revenue. The expenses section shows all business expenses and their total. The income section is the difference between revenue and expenses. A positive income means the made profits, while a negative income indicates losses.
. does capm offer a formal mechanism that explains how the market sets prices of traded equities?
Yes, the Capital Asset Pricing Model (CAPM) offers a formal mechanism that explains how the market sets prices of traded equities.
The CAPM is a widely accepted model in finance that describes the relationship between risk and expected return. It suggests that the expected return of a security is a function of the risk-free rate, the market risk premium, and the security's systematic risk, also known as beta.
The market risk premium is the additional return investors demand for taking on the risk of investing in equities over the risk-free rate, while beta measures the sensitivity of a security's returns to changes in the market. According to CAPM, a security with a higher beta will have a higher expected return than a security with a lower beta, all else being equal.
The model assumes that all investors have access to the same information and hold diversified portfolios, which implies that they are rational and risk-averse. It also assumes that there are no transaction costs, taxes, or other frictions in the market.
In practice, the CAPM is often used as a benchmark to evaluate the performance of portfolios or individual securities. By comparing the expected return of a security based on its beta and the market risk premium to its actual return, investors can determine whether the security has outperformed or underperformed the market.
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What is most likely to cause a lender to deny credit?
Group of answer choices
Few credit and loan applications
A low debt-to-credit ratio
Missed payments on revolving credit
Variety of credit type used
Answer:
Missed payments on revolving credit
Explanation:
Lenders use credit history and income level to assess the borrower's ability to repay a loan. Missing on installment payments or defaulting on revolving credit payments is indicative of a high-risk borrower. The lender will judge such a customer are highly likely to default on the loan.
Missing installments could communicate an inability to repay due to inadequate income, too many debts, or poor money management. Lenders will reject a loan application from such a borrower due to the high risk of lending to the customer.
pizza bliss, a pizza delivery chain, assures delivery of pizza within half an hour of the placement of order. it employs various methods like specialization of work, motion study, and analysis of routes to make sure that an order reaches a customer in half an hour. which of the following management techniques is pizza bliss most likely using
Pizza Bliss is using several management techniques to ensure efficient delivery of pizza within half an hour of order placement. Some of these techniques include:
1. Specialization of work: The pizza chain likely has employees who specialize in specific tasks such as preparing the pizza, packaging it, and delivering it.
2. Motion study: This involves analyzing the various movements involved in delivering a pizza, such as how the pizza is placed in the box, how the box is sealed, and how the pizza is handed off to the delivery person
3. Analysis of routes: Pizza Bliss likely uses mapping software to determine the most efficient routes for their delivery drivers to take.
4. Continuous improvement: Pizza Bliss is likely constantly analyzing and refining their processes to ensure that they are delivering pizzas as efficiently as possible.
Overall, Pizza Bliss is using a combination of techniques to ensure that they are able to deliver pizzas within half an hour of order placement.
By focusing on efficiency and continuous improvement, they are able to maintain their reputation for fast, reliable service.
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What is the outlook for marketing career opportunities
A The number of jobs in marketing is falling
B The number of jobs in marketing will remain steady
C no one knows what the outlook is for jobs in marketing
D The number of jobs in marketing is on the rise
Answer:
D The number of jobs in marketing is on the rise
Explanation:
The outlook for marketing career opportunities is The number of jobs in marketing is on the rise. Thus the correct option is D.
What is a Career?A career is referred to what an individual chooses as a profession to earn something. A career of an individual is based on his talents, skills, and abilities which help him to seek growth and development and achieve the goals of life.
The outlook for marketing career opportunities is typically bright, As the demand for marketing professionals grows, This expansion is being driven by the growing importance of marketing in today's business environment and its significance.
Aside from marketing managers, there are numerous other marketing careers accessible, such as market research analysts, public relations specialists, and digital marketing specialists which brings career prosperity and growth.
Therefore, option D is appropriate.
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Need HELP 100 POINTSScarcity is the idea of satisfying unlimited wants and needs with limited resources. Which of the following is an example?
A. The customer is always right, so his/her needs should be met.
B. More resources could be grown or built to satisfy the need.
C. Everyone needs food, but there is not enough.
Answer:
C
Explanation:
the definition of scarcity is to subsist with a scarce amount of something, or to have a very little amount of something. When there is a community of people with not enough food to go around, scarcity is the issue, and food must be allocated carefully.
QUESTION 3 of 10: Last month, sales in the following categories were: Promotional items ($1,401 with returns of $214 and discounts of
$159), Staple items ($2,306 with returns of $178), All other items ($2,298 with returns of $56). The total square footage of selling space is
5,000 square feet. Compute the sales per square foot of selling space.
ОООО
a) $0.78/square foot
b) $1.08/square foot
c) $1.54/square foot
d) $1.67/square foot
Answer:
b) $1.08/square foot
Explanation:
The sales per square foot will be the net sales/total square feet.
Net sales :
promotional items = sales - returns- discount
=$1,401 - $214 - $159
=$1028
Staple items = sales -returns
= $2,306- $178
=$2,128
Other items
= $2,298- $56
=$2,242
Total net sales = $1028 + $2,128 + $2,242
=$5,398
The sales per square foot of selling space will be
=$5,398/5000
=$ 1.079
=$1.08
an investment project has multiple irrs. what must be true about this project?
If an investment project has multiple internal rates of return (IRRs), it means that the cash flows of the project are such that there are multiple discount rates that could make the net present value (NPV) of the project equal to zero. This situation arises when the project has non-normal cash flows, i.e., when there are more than one sign change in the cash flows.
For example, if a project has an initial investment of $100,000, followed by cash inflows of $50,000, $60,000, and $70,000 in consecutive years, then there are multiple IRRs. The IRRs could be calculated by solving the following equation for r:
-$100,000 + $50,000/(1+r) + $60,000/(1+r)^2 + $70,000/(1+r)^3 = 0
The equation would have multiple roots because of the multiple sign changes in the cash flows. In this case, the IRRs would be around 22.9%, 57.1%, and 300%, which implies that the project is highly risky and unstable.
In general, if a project has multiple IRRs, it implies that the project has non-normal cash flows and is risky. It also implies that the traditional method of using IRR to evaluate the project may not be appropriate, as it does not provide a unique solution. Instead, other methods such as the modified internal rate of return (MIRR) or the net present value (NPV) should be used to evaluate the project. These methods provide a unique solution and take into account the time value of money and the cost of capital.
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How does feedback of players influence the development of a game?
Answer:
Evaluative Feedback Increases.Explanation:
While comparative feedback decreases future game play. Furthermore, negative feedback decreases players’ feeling of competence, but also increases immediate game play. Positive feedback, in contrast, satisfies competence and autonomy needs, thereby boosting intrinsic motivation.
The feedback of players influence the development of a game they use the feedback and fix it. From this evaluation of feedback may increases.
What is feedback?When a system's outputs are used again as inputs in a cause-and-effect circuit or loop, this is known as feedback. The system is said to feed back on itself in this case.
Anything you discover prior to the game's release will save you from having to deal with it later. You can save time later on by using player feedback to pinpoint the problems with the game.
There is a very significant likelihood that players may become frustrated and, as a result, find the game confusing and worthless if they don't receive prompt and accurate feedback when playing games.
Therefore, the feedback of players influence the development of a game they use the feedback and fix it. From this evaluation of feedback may increases.
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Wes Ottey would like to buy an apartment in Sydney in six years. He is looking to invest $75,000 today in a share that is expected to earn a return of 18.3 percent annually. How much will he have at the end of six years? (Round to the nearest dollar.)
Answer: 82350
Explanation: I say this cause mathematically speaking 18.3% of 75000 = 13725, then multiplied by 6 (6 years) should be 82350. It does say the end of 6 years though but the end of 6 years isn't 7 years so I'd still say 82350 or something like that.
explain advertisement
Answer: Advertisement is a marketing communication. It is used to promote businesses and their products. Used to promote more effectiveness in a businesses profit and their sales. May be seen in the form of commercials or billboard announcements in everyday life.
If banks increase excess reserves to increase their ability to absorb a higher rate of defaults: Group of answer choices the actual multiplier will rise. the actual multiplier will fall the potential multiplier will rise. the potential multiplier will fall.
The upward push of reserves through banks to take better charge of defaults is the reason the real multiplier will fall.
What is a multiplier?A multiplier is a monetary factor that, when increased or changed, causes an increase or change in a variety of other related monetary variables.
In terms of gross home product, the multiplier impact explains profits in overall output to be more than the difference in spending that brought about it.
The time period multiplier is generally utilized in connection with the relationship between authorities' spending and overall country-wide income.
Multipliers are also utilized in explaining fractional reserve banking, referred to as the deposit multiplier. A multiplier is absolutely something that amplifies or booms the bottom cost of something else.
A multiplier of 2x, for instance, could double the bottom discern. On the other hand, a multiplier of 0.5x could truly reduce the bottom discernible by half. Many specific multipliers exist in finance and economics.
So from the above clarification, it's clear that the real multiplier will fall, that the best option.
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Heidi works in the after-market service department of Yummy Yogurt Inc. She recently worked on a product recall for one of the company's most popular brands. Which operational objective is Heidi responsible for within the global supply chain? Multiple Choice inventory reduction life-cycle support responsiveness shipment consolidation variance reduction
Heidi is responsible for the operational objective of life-cycle support within the global supply chain.
Life-cycle support is an operational objective that focuses on providing support and services throughout the entire life cycle of a product, from its introduction to its disposal. In the given scenario, Heidi's involvement in the product recall for one of Yummy Yogurt Inc.'s popular brands aligns with the life-cycle support objective.
Product recalls are a part of post-sales support and fall within the life-cycle support objective. Heidi's role in managing the recall process, coordinating with customers, handling returns or replacements, and ensuring customer satisfaction is essential in providing support during this phase of the product life cycle. Life-cycle support also involves activities such as maintenance, repairs, warranty services, and customer support, which contribute to the overall customer experience and satisfaction.
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