One truth of short-term objectives is that they need to be achieved in one year or less.
What are short-term objectives?In the business world, the short-term refers to a period of time that is less than or equal to a year.
Short-term objectives are therefore goals that a company needs to meet before a year has elapsed.
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How should you handle questions about past jobs and employers?
(I am being timed)
A)You should give a specific example of how you were mistreated on your last job and why you left.
B)You should take the opportunity to show your knowledge by pointing out what was wrong there.
C)You should be honest, but don't bring up negative issues. If you must, frame it as a lesson learned.
D)You should refuse to answer any questions about previous employers and jobs.
Answer: B
Explanation:
You should give a specific example of how you were mistreated on your last job and why you left. Therefore option B is correct.
What is Job?The term Jobbe or Worke (1550s), which meant "task, piece of work," gave rise to the word "job," which today is used to refer to a piece of work or anything that needs to be done.
Literary sources indicate that the phrase was first used in 1858 to refer to "a salaried, permanent position of employment." Printers began using the phrase as slang for "piece of work of miscellaneous class" around 1795. (handbills, posters, etc.).
People who have received specialized training for particular occupations are either-
These are manual tasks in the trade. Carpenters, auto mechanics, hairdressers, and bakers are a few examples. Other trades include those for butchers, plumbers, and arborists.
- Profession: A university degree is required for this type of employment. Lawyers, physicians, dentists, architects, librarians, engineers, and pharmacists are a few examples. Teachers, university professors, scientists, physicists, and geologists are all occupations.
Therefore option B is correct.
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To arrive at an economic decision, a decision-making grid may be used to evaluate.
A decision-making grid may be used to evaluate ALTERNATIVES to arrive at an economic decision.
This kind of decision-making grid can assess alternative choices of action. A decision-making grid is essentially a viable technique for identifying, gathering, and then evaluating alternatives when a need for a decision arises.
This is a crucial step in the economists' decision-making process. Economic research is vital since it helps us become better decision-makers.
Actually, making your own decision-making grid can help you, too, solve your problems! Look at the attached image for an example of making a decision while looking at it.
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e
17.
If 30,000 workers are unemployed in a state with a working age population of 400,000,
then the unemployment rate is?
a. 13.33%
b. 1,333.33%
c. .075%
d. 7.5%
Answer:
d. 7.5%?
Explanation:
Mocha Jo's recorded service revenues of $100,000 during the current year, of which $75,000 were on credit and $25,000 were for cash. Moreover, of the $75,000 credit sales, Mocha Jo's collected $50,000 cash on those receivables before year-end. The company also incurred $60,000 in total expense for beans, supplies, and wages during the year, but approximately $5,000 of wages earned during the last week of the year were not yet paid at year-end.
a). Compute the Company's net income for the year (show your calculations): Net income = ____
b. How much net cash flow or outflow did the company generate during the year (show your calculation)? Cash flow = _____
Mocha Jo's net income for the year is $15,000 and Mocha Jo's net cash flow for the year is $20,000.
To compute Mocha Jo's net income and net cash flow for the year, we need to consider the revenue, expenses, and cash inflows/outflows.
a) Net Income Calculation:
Total Revenue = Cash Revenue + Credit Revenue collected
Total Revenue = $25,000 + $50,000
Total Revenue = $75,000
Net Income = Total Revenue - Total Expenses
Total Expenses = $60,000 (including unpaid wages of $5,000)
Net Income = $75,000 - $60,000
Net Income = $15,000
b) Net Cash Flow Calculation:
Cash Inflows = Cash Revenue + Collections from Credit Sales
Cash Inflows = $25,000 + $50,000
Cash Inflows = $75,000
Cash Outflows = Total Expenses - Unpaid Wages
Cash Outflows = $60,000 - $5,000
Cash Outflows = $55,000
Net Cash Flow = Cash Inflows - Cash Outflows
Net Cash Flow = $75,000 - $55,000
Net Cash Flow = $20,000
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An investor has just entered 2 short palladium futures contracts at a futures price of $1,886 per troy ounce. The size of each contract is 100 troy ounces. The initial margin is $20,000 per contract and the maintenance margin is $15,000 per contract. A month after opening the position the futures price rises to $1,913 per barrel. What is the balance of the total margin account at the end of the month? (Assume that no margin call has occurred over this period and your answer should be to the nearest dollar, without the dollar sign.)
An investor has just entered 2 short palladium futures contracts at a futures price of $1,886 per troy ounce. The size of each contract is 100 troy ounces. Therefore, the answer is $331,800.
The initial margin is $20,000 per contract and the maintenance margin is $15,000 per contract. A month after opening the position the futures price rises to $1,913 per troy ounce. What is the balance of the total margin account at the end of the month? (Assume that no margin call has occurred over this period and your answer should be to the nearest dollar, without the dollar sign.)
When an investor enters 2 short palladium futures contracts at a futures price of $1,886 per troy ounce, the amount the investor received is `2*100*1886 = 377,200`.
For two futures contracts, the initial margin is $20,000 per contract and the total initial margin is $20,000 x 2 = $40,000.
The futures price then rose to $1,913 per troy ounce, for a loss of $27 per troy ounce and $2,700 per contract. The total loss is $2,700 x 2 = $5,400.
The balance of the total margin account at the end of the month is:377,200 - 5,400 - 40,000 = $331,800 (to the nearest dollar, without the dollar sign).
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2. Which country is the top foreign holder of U.S. federal government debt?
a. Germany
b. United Kingdom
c. Japan
d. China
ABC stock is currently selling for $120. The exercise price of the call option is $125. Using a one-period binomial model, calculate the price of the call option assuming an interest rate of 3% per year. Assume further that over the next year, the stock price will either increase by 10% or decrease by 10%. What is the price of the call option? Show detailed work
The probability weighted average of the interest rate future values at the end of each of the three periods is used to determine this, and the future values are then discounted back to the present using the interest rate.
The tree is built using the current stock price and a simulation of the up and down movements over the course of the three periods using the provided probability and percentage changes.
Each end node's option value is determined before being processed back up the tree to the starting node. The starting node's computation serves as the end option value.
The stock's annual payout range is $27 - $17 = $10.
If the stock price is $27 when the option expires, its value will be =$27-$22 =$5.
If the stock price is $17, the option will also have no value.
The stock option has a payment range of $5 and $0;0 = $5.
To determine the amount of stock shares, balance the range:
$5/10 = 0.5 Option range/Stock range
The stock option payoff for 0.5 shares will be either $13.5 or $8.5. The payout for the portfolio and options will be $13.5- $5, which equals $8.5, or $8.5 $0; 0 = $8.5.
PV = $8.5/ (1+) is the present value of $8.5 at the daily compounding risk-free rate.
Complete question:
ABC stock is currently selling for $120. The exercise price of the call option is $125. Using a one-period binomial model, calculate the price of the call option assuming an interest rate of 3% per year. Assume further that over the next year, the stock price will either increase by 10% or decrease by 10%. What is the price of the call option? Show detailed work?
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when a buyer's broker agrees to the cooperative arrangement of the mls, who do they have an agency relationship with, in addition to their client...?
When a buyer's broker agrees to the cooperative arrangement of the MLS (Multiple Listing Service), they have an agency relationship with both their client and the listing broker.
The buyer's broker is responsible for representing and advocating for their client's best interests throughout the home buying process. They assist the buyer in finding suitable properties, negotiate offers on their behalf, and provide guidance and advice. They can communicate and negotiate directly, share information about the property, and work together to ensure a smooth and successful transaction for both the buyer and seller.
By having an agency relationship with both their client and the listing broker, the buyer's broker can effectively navigate the real estate market and help their client find the right property while also working collaboratively with other brokers involved in the transaction.
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Productivity is a measure of:
O
A. the investment required to get a business started.
O B. the profits generated by a single economic decision.
оо
c. the amount of input needed to create a certain output.
D. the growth of a business over a defined period.
Answer:
c. the amount of input needed to create a certain output.
Explanation:
Productivity measures the efficiency in the use of the company's resources in the production process. The term productivity is associated with reduced wastage, high quality, and a high input to output ratio.
Productivity is about how well a company uses inputs to generate output. It is measured by calculating the volume of output per hour or comparing the total output against the number of employees.
A problem with the specific identification method is that.
A problem with the specific identification method is that it is time-consuming and expensive compared to other inventory costing methods.
The specific identification method is a type of inventory costing method that is used to track and assign the actual cost of a specific unit of inventory to that unit. The main advantage of this method is that it provides an accurate cost of goods sold and ending inventory. However, it also has some drawbacks that include:
Time-consuming and expensive: This is because it requires detailed records to be kept for each individual item in inventory, which takes a lot of time and can be expensive to maintain if there are many different items in inventory. Also, it requires a high level of accuracy and attention to detail to ensure that the records are correct.
Risk of manipulation: Another problem with specific identification is that it is more prone to manipulation than other inventory costing methods. This is because it allows management to choose which items are sold first, which can be used to manipulate the cost of goods sold and, in turn, the reported profits of a business.
Dependent on inventory flow: Specific identification method depends on the flow of inventory and how it is used in the production process. This can lead to discrepancies in inventory costs if there are any changes in production methods or if inventory flow changes for any other reason.
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Which term refers to the act of successfully sharing information between two or more people so that the information is understood?.
The term that refers to the act of successfully sharing information between two or more people so that the information is understood is communication. Communication can take many forms, including verbal, nonverbal, written, and visual. Effective communication involves not only conveying information accurately, but also ensuring that the recipient of the information understands its meaning and context.
This requires careful attention to the language used, the tone of voice, body language, and other cues that can affect how the information is perceived. Communication is a fundamental aspect of human interaction and is essential for building relationships, sharing ideas, and achieving common goals.
The term that refers to the act of successfully sharing information between two or more people so that the information is understood is "effective communication." This process ensures clear and accurate transmission of information, leading to mutual understanding among the participants.
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Your cousin has just graduated from college and is starting her search for an apartment to rent. What are three steps you think she should take during her search?
When a person lives in a house or apartment of another person or the tenant on a contract basis is called rent.
The three steps that she should take during the rental apartment search is:
She should first know her location and the area very well. The location of the apartment matters for safety as well as convenient purposes. Secondly, she should know her budget well. Budgeting is very important as she is just a graduate and should filter the search accordingly.Lastly, the information about the owner or tenant must be known as it will help in the lease issues and will keep away from illegal problems.In these ways, she could search for the apartment.
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Thinking about your office or college, what types of
information are conveyed through the grapevine? How
often is the information accurate?
Answer: I would experience a lot of cluster chains speaking on if someone was in trouble. An employee would be called to the back office if they were either in trouble or getting a promotion.
Explanation:
As demonstrated in class, for the purposes of estimating capacity requirements, to calculate labor requirements, one does not need to know
a) Number of workers required to staff each machine (piece of equipment)
b) Hourly wage per employee
c) Capacity of each machine or piece of equipment (in units) per unit time
d) Number of machines (pieces of equipment available
e) Product line forecast ün units) per time period
As demonstrated in class, for the purposes of estimating capacity requirements, to calculate labor requirements, one does not need to know the capacity of each machine or piece of equipment (in units) per unit time.
What is capacity?
Capacity refers to the maximum output rate that a machine or plant can achieve under ideal conditions. Production capacity can be expressed in units of time such as an hour, a day, or a week, and may also be expressed in terms of a total number of units produced within that period.
To calculate labor requirements and estimate capacity requirements, you must know the following: Number of workers required to staff each machine (piece of equipment) Hourly wage per employee Number of machines (pieces of equipment available Product line forecast in units per time period
Therefore, the answer is option C) Capacity of each machine or piece of equipment (in units) per unit time.
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Why would South Africa’s import value be higher than export value
South Africa exports of items and services as proportion of GDP is 30.47% and imports of items and services as proportion of GDP is 25.53%.
Why import is greater than export?A weaker domestic currency stimulates exports and makes imports more expensive; conversely, a sturdy home forex hampers exports and makes imports cheaper. Higher inflation can also influence exports via having a direct have an effect on on input fees such as materials and labor.
Imports become extra expensive. Exports and AD make bigger causing demand-pull inflation.
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https://brainly.com/question/27899202#SPJ13if ben invests $3500 at 4% interest per year, how much additional money must he invest at 5.5% annual interest to ensure hat the interest he receives each yar is 4.5% of the total amount invested?
Ben must invest an additional $840 at 5.5% annual interest to ensure that the interest he receives each year is 4.5% of the total amount invested.
The annual interest earned on $3500 at 4% is: $3500 x 0.04 = $140
Next, we can use this information to find out how much additional money Ben needs to invest at 5.5% annual interest to ensure that he receives a total annual interest of 4.5% of the total amount invested. Let's call the additional amount Ben needs to invest "x":We know that Ben's total annual interest should be 4.5% of the total amount invested, so we can set up the equation:0.045(Total amount invested) = $140 + 0.055x
We add $140 to account for the interest earned on Ben's initial investment
We use 0.055 instead of 0.05 to account for the 5.5% annual interest on the additional investment
Simplifying the equation, we get:0.045(Total amount invested) - 0.055x = $140
We want to solve for "x", so we can rearrange the equation:0.055x = 0.045(Total amount invested) - $140
Divide both sides by 0.055:
x = (0.045/0.055)(Total amount invested) - ($140/0.055)
Simplifying further, we get:
x = 0.8182(Total amount invested) - $2545.45
Now we can set up another equation to solve for the total amount that Ben needs to invest to achieve his desired annual interest rate of 4.5%:
Total amount invested = $3500 + x
Substituting in the value we just found for "x":
Total amount invested = $52,500
Therefore, Ben needs to invest an additional $49,000 ($52,500 - $3,500) at 5.5% annual interest to ensure that the interest he receives each year is 4.5% of the total amount invested.
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THIS IS URGENT- How did Jeff bezos change the economy when he created Amazon (I need when he first created it up to now!)
Jeff Bezos when he created Amazon had a tremendous impact in the economy as he created jobs more than any other company had created before and also helped in achieving price stability.
What is Amazon?
Digital streaming, cloud computing, online advertising, and artificial intelligence are the main areas of interest for the American multinational technology business Amazon.com. One of the most valuable brands in the world, it has been called "one of the most significant economic and cultural forces in the globe." Along with Alphabet, Apple, Microsoft, and Meta, it is one of the Big Five American technological firms. On July 5, 1994, Jeff Bezos launched Amazon from his garage in Bellevue, Washington. It began as an online book store but has since grown to include many more product categories.
Hence, Amazon contributed to the economy in terms of sales, price stability and creation of jobs and also providing a alternate option for marketplace in a economy.
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A writer, an illustrator, a publisher and an agent would form a
a. Functional team
b. Choss-functional team
C. Management team
d. Corporate team
Answer:
b. Cross-functional team
Explanation:
A cross-functional team is composed of individuals with different skill sets. It is formed to accomplish a task that requires the input of different functional skills. Organizations form cross-functional teams by picking its members from various departments in the company. Cross-functional teams are always temporary and are disbanded when their mission is accomplished.
A writer, an illustrator, a publisher, and an agent have diverse skill sets. The team they would form is cross-functional
How is the wage rate determined through the forces of demand and supply of labor?
Answer: Just as in any market, the price of labor, the wage rate, is determined by the intersection of supply and demand. When the supply of labor increases the equilibrium price falls, and when the demand for labor increases the equilibrium price rises.
Explanation:
You are a trainee sales manager with a retailing firm. Visit professional websites and discussion forums to find out how managers resolve problems related to transactions including cash, checks, debit cards, credit cards, discounts, layaway, Cash on Delivery, returns, gift certificates, and automatic fee withdrawals. You may also want to meet up with and talk to a store professional during their break times and seek input in person. Also, explain the technique to make change in counter transactions correctly.
Managers resolve transaction-related issues including cash, checks, debit cards, credit cards, discounts, deposits, cash on delivery, returns, gift cards and automatic fee withdrawals based on company policy.
Importance of company policy for decision makingThe organizational policy must be shared with all employees in a clear and objective way, in order to be a guide for behavior in the organization.
It will include the norms and rules to be followed in each organizational situation.
Considering Starbucks as the company of our research, through its website we can see that there is a guide with the terms and conditions for using the Starbucks card.
Therefore, each rule must be clearly exposed to stakeholders, and each issue related to financial transactions exposed in pre-established legal documents, in order to be a protection for the organization and for the clients.
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QUESTION 1 of 10: The pipes burst in your new apartment! The water damaged your new furniture and belongings. Which portion of your
Renter's Insurance will cover the cost of your losses?
Oa) Contents
b) Liability
c) Terms
Od) None of the above
Submit
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advantages of municipal bond funds include a) they may be exempt from state taxes. b) the interest is generally exempt from federal taxes. c) they are all no-load funds. d) both a and b are correct.
Option D, which states that both a) they may be exempt from state taxes, and b) the interest is generally exempt from federal taxes, are correct, is the most accurate answer.
Municipal bond funds offer several advantages to investors, particularly in terms of tax benefits. Here's a breakdown of the advantages mentioned:
1. Exemption from state taxes: Municipal bond funds are issued by state and local governments, and in many cases, the interest earned from these bonds is exempt from state taxes. This can be advantageous for investors residing in the same state as the issuer, as it allows them to potentially earn tax-free income from these investments.
2. Exemption from federal taxes: Another significant advantage of municipal bond funds is that the interest earned is generally exempt from federal taxes. This means that investors may not have to pay federal income taxes on the interest income they receive from these funds. This tax advantage makes municipal bond funds attractive to investors seeking tax-efficient investment options.
3. No-load funds (not applicable): Option C, which states that municipal bond funds are all no-load funds, is not entirely accurate. While some municipal bond funds may be structured as no-load funds (funds that do not charge sales commissions), it is not a universal characteristic of all municipal bond funds. Considering the advantages mentioned, option D, which states that both a) they may be exempt from state taxes, and b) the interest is generally exempt from federal taxes, are correct, is the most accurate answer.
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Hem and Nem are partners in a firm sharing profits in the ratio of 3:2. Their capitals were 80,000 and 60,000 respectively. They admitted Sam on Jan 1, 2019 as a new partner for 1/5th share in the future profits. Sam brought 60,000 as his capital.Calculate the value of goodwill of the firm and record necessary journal entries when Sam brings his share of goodwill in cash.
Answer:
Sam's capital account = $60,000 (for 1/5 of the firm)
the firm's total value = $60,000 x 5 = $300,000
goodwill = $300,000 - ($60,000 + $80,000 + $60,000) = $100,000
Hem's share of goodwill = ($80,000 / $140,000) x $100,000 = $57,143
Nem's share of goodwill = $100,000 - $57,143 = $42,857
the journal entry used to record goodwill:
Dr Goodwill 100,000
Cr Hem, capital, 57,143
Cr Nem, capital, 42,857
what is a milk cartel
Answer:
hope this helps?!
Explanation:
Congress sets minimum prices for milk, but nothing stops - or should stop - individual farmers from bargaining for higher prices. ... Indeed, because of a shortage induced by the federally sponsored slaughter of dairy herds last year, most dairy farmers are now able to charge a substantial premium.
Dan bought a hotel for $2,600,000 in january 2011. in may 2015, he died and left the hotel to ed. while dan owned the hotel, he deducted $289,000 of cost recovery. the fair market value in may 2015 was $2,800,000. the fair market value six months later was $2,850,000.
a. what is the basis of the property to ed?
Answer:
$2,800,000
Explanation:
Given that
Purchased a hotel for $2,600,000
The Deducted amount is $289,000
Fair market value in may 2015 is $2,800,000
Six months later, its value is $2,850,000
Based on the above information,
The computation of the basis of the property to ed is shown below:
It should be equivalent to the fair market value i.e. $2,800,000 and hence, the same is to be considered
All other values should be ignored
all of the following are key priorities of sales and operation planning except:
One of the key priorities of Sales and Operation Planning (S&OP) is to develop a consensus plan among various departments of the organization.
Sales and Operation Planning (S&OP) is a process that helps to integrate the sales plan of a business with its operations plan. It takes into account both demand and supply factors and tries to achieve an optimal balance between them. The following are some of the key priorities of sales and operation planning:To develop a consensus plan among various departments of the organization.To develop an accurate demand plan that reflects the sales forecast and market trends.
To develop an achievable supply plan that considers the production capacity and lead times.To align the demand plan and supply plan to achieve an optimal balance.To identify and resolve any potential issues and risks that may affect the sales and operations plan.However, the question asks about the key priorities of S&OP that are "not" considered as key priorities of S&OP. Therefore, the correct answer is:None of the above is a key priority of Sales and Operation Planning (S&OP).
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Suppose all firms follow similar financing policies, face similar risks, have equal access to capital, and operate in competitive product and capital markets. However, firms face different operating conditions because, for example, the grocery store industry is different from the airline industry. Under these conditions, firms with high profit margins will tend to have high asset turnover ratios, and firms with low profit margins will tend to have low turnover ratios.
a. True
b. False
Although most STEM careers require workers to earn bachelor's degrees, high school graduates can qualify for some STEM careers. Which of these jobs do not require post-secondary education?
O Museum Conservator and Anthropologist O Electronic and Industrial Engineering Technicians
O Social Science Research Assistant and Park Naturalist
O Non-Destructive Testing Specialist and Surveying Technician
Answer:
I think C if its not D
Explanation:
The job which does not require post-secondary education is Non destructive Testing Specialist and Surveying Technician. Thus, the correct answer is D.
What are STEM careers?STEM is the acronym for Science, Technology, Engineering, and Math.STEM education fosters critical thinking, improves knowledge acquisition, and empowers the next generation of entrepreneurs.
These refer to the best career help in the growth of a country and stability of economy. It is a demanding job that requires highly qualified candidates. This will help in introducing technology and encourages innovation.
Therefore, option D Non-Destructive Testing Specialist and surveying technician is the correct answer which only requires a secondary degree.
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Which of the following is NOT a source of equity on a firm's balance sheet?
a.
additional paid-in capital
b.
retained earnings
c.
common stock
d.
property, plant, and equipment
Property, plant, and equipment (PPE) is not a source of equity on a firm's balance sheet as it belongs to Fixed asset. The Option D is correct.
What are recorded on equity section on a firm's balance sheet?Shareholders' equity is the amount that the owners of a company have invested in their business. This includes the money they've directly invested and the accumulation of income the company has earned and that has been reinvested since inception
The section of a balance sheet named stockholders' equity or owner's equity; this section's total is the amount of reported assets minus the amount of reported liabilities.
Contributed capital, preferred shares, treasury shares, retained earnings, accumulated other comprehensive income, and non-controlling interest are the main six potential components of the balance sheet's owners' equity section.
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(14%) Let A[1..n] be an array of n positive numbers. Entry A[i] represents the trading price of a stock X on the i-th day (and hence the numbers are ordered chronologically). Write an algorithm max-profit that returns a pair (a, b) such that if one buys stock X on the a-th day and sells it on the b-th day, the maximum profit is made. Give the time complexity of your algorithm in Big-O. Show the derivation of the complexity result.
To solve this problem, we can use a simple algorithm that iterates through the array and keeps track of the minimum price seen so far and the maximum profit.
The algorithm works as follows: Initialize variables: min_price = A[1], max_profit = 0, buy_day = 1, sell_day = 1. Iterate through the array A from the second element to the last: If A[i] < min_price, update min_price = A[i]. If A[i] - min_price > max_profit, update max_profit = A[i] - min_price, buy_day = index of min_price, sell_day = i. Return the pair (buy_day, sell_day). The time complexity of this algorithm is O(n), where n is the size of the array A. This is because we perform a single pass through the array, comparing and updating values in constant time for each element. Therefore, the algorithm has a linear time complexity.
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