One drawback of the polycentric approach to staffing is that host-country nationals may have limited opportunities for advancement beyond senior positions in their subsidiary (Option D).
This approach involves hiring employees who are citizens of the host country, which can lead to a lack of diversity in the organization. Additionally, because host-country nationals are familiar with local culture and customs, they may be more likely to make decisions based on local practices rather than the overall strategy of the organization, leading to cultural myopia (Option A) and potential misunderstandings (Option B). However, this approach can also reduce the cost of value creation (Option C) by avoiding the expenses associated with expatriate assignments. Ultimately, the choice of staffing approach depends on the goals and priorities of the organization in each specific situation.
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A product in the __________ stage of the product life cycle has a high number of competitors and competitive products.
Answer:
Maturity stage
Explanation:
a fall in the money wage rate (or other input prices) shifts
A fall in the money wage rate (or other input prices) shifts the short-run aggregate supply (SRAS) curve to the right.
This shift occurs because lower input prices, such as a decrease in wages, reduce the cost of production for businesses. As a result, firms are able to produce a greater quantity of goods and services at each price level, leading to an increase in the overall supply in the economy. In summary, when the money wage rate or other input prices decrease, it results in a rightward shift of the short-run aggregate supply curve. This shift represents an increase in the total quantity of goods and services supplied in the economy, as businesses are able to produce more at lower costs.
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many wasps and bees have an hourglass-shaped body with prominent striping. most also have a sting that they use for defense and/or for capturing prey. tropical entomologists have long known that there are many other species of insects that lack a sting, such as flies, moths and beetles, that are remarkable mimics of bees and wasps. the mimics probably arose through
The question you have asked is "many wasps and bees have an hourglass-shaped body with prominent striping. Most also have a sting that they use for defence and/or for capturing prey. Tropical entomologists have long known that there are many other species of insects that lack a sting, such as flies, moths and beetles, that are remarkable mimics of bees and wasps. The mimics probably arose through..."
The tropical entomologists have long suggested that these other species of insects evolved to mimic the appearance and behaviour of bees and wasps in order to gain protection from predators. The resemblance of these mimics to the wasps and bees can be attributed to a process known as 'Batesian mimicry'. This process is when a less dangerous species takes on the characteristics of a more dangerous species in order to deceive predators. In this case, the less dangerous species of insects (such as flies, moths and beetles) evolved to look like the more dangerous bees and wasps in order to gain protection from their predators.
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Which business process ensures that firms in the supply chain have the resources they need?
a. Manufacturing flow management
b. Customer service management
c. Product development and commercialization
d. Order fulfillment
e. Demand management
The business process that ensures firms in the supply chain have the resources they need is (a) Manufacturing Flow Management. This process focuses on coordinating and managing the production, movement, and storage of materials and finished goods throughout the supply chain.
Manufacturing flow management is a critical business process within supply chain management. It focuses on coordinating and managing the flow of materials, components, and finished goods throughout the supply chain to ensure that firms have the necessary resources they need to operate effectively. This process involves activities such as production planning, inventory management, scheduling, and logistics coordination.
By implementing effective manufacturing flow management, firms can optimize their production processes and ensure that resources are available at the right place, at the right time, and in the right quantities. This helps to prevent stockouts, minimize excess inventory, reduce lead times, and improve overall supply chain efficiency. Manufacturing flow management plays a crucial role in supporting the smooth and uninterrupted flow of materials and products, enabling firms to meet customer demand, reduce costs, and maintain a competitive advantage in the marketplace.
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the process of identifying and following employees with potential who will be poised to take over senior positions when they become available is called
The process of identifying and following employees with potential who will be poised to take over senior positions when they become available is called the succession planning.
The process of identifying the crucial jobs within your organization and creating action plans for people to fill those positions is known as succession planning. The succession planning is the process of creating talent to take over for the employees, leaders, or other key personnel when they change roles, leave the organization, are fired, retire, or pass away. It applies to all the businesses, regardless of size, in the for-profit and not-for-profit sectors.
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Consider Emily's balance statement:
Emily's supervisor asked her to revise the balance statement. What does she need to revise? Why?
A B
1 Assets FY 2014
2 Accounts Payable $2,000
3 Wages $75,000
4 Taxes Payable $10,000
5 Mortgage Payable $15,000
6 Total $102,000
7
8 Liabilities FY 2014
9 Cash $800
10 Inventories $36,000
11 Investments $25,000
12 Accounts Receivable $61,800
13 Total $122,800
14
15 Balance -$20,800
Answer:
see below
Explanation:
A balance sheet is prepared following the accounting principles of assets equal to liabilities plus equity. Assets are left side while equity and liabilities on the other.
Assets are valuable that a business owns. Liabilities refer to the debts or loans of the business. It is what the business owes others. Equity is the owner's contribution to the business.
In this balance sheet, Emily has confused assets and liabilities.
The column labeled as liabilities represents assets. She should change that. This column should be the topmost column. She has interchanged the labels for liabilities and assets. The difference between assets and liabilities should be equity.
Answer:
Emily has mixed up the assets and liabilities. All the cells under “assets” are really liabilities and vice versa.
Explanation:
Find an article dealing with an opinion poll on a local, state ,or national issue. Write a paragraph summary of when and how the poll was conducted, and what the results indicated.
Are the following statements true or false? Explain in each case.
“Two countries can achieve gains from trade even if one of the countries has an absolute advantage in the production of all goods.”
“Certain very talented people have a comparative advantage in everything they do.”
“If a certain trade is good for one person, it can’t be good for the other one.”
“If a certain trade is good for one person, it is always good for the other one.”
“If trade is good for a country, it must be good for everyone in the country.”
1. True. Even if one country has an absolute advantage in the production of all goods, both countries can still benefit from trade if the other country has a comparative advantage in the production of certain goods.
2. False. Even the most talented people are not good at everything but they might be better at some things than others, but they cannot be excellent at everything.
3. False. Trade can be beneficial for both parties involved.
4. False. Trade can be beneficial for one party but not necessarily for the other.
5. False. International trade can have negative consequences for certain groups of people.
State any four uses of funding in a new business
Answer:
Some of these funding options are for Indian business, however, similar alternatives are available in different countries.
Bootstrapping your startup businessCrowdfunding As A Funding OptionGet Angel Investment In Your StartupGet Venture Capital For Your BusinessLook up data on the current unemployment rate, inflation rate, and/or GDP growth rate. Based on your data, comment on the current state of the economy.
Visit the "U.S. Economy at a Glance" page of U.S. Bureau of Economic Analysis website (via bea.gov)Links to an external site. for the current data.
Post a brief paragraph responding to the discussion prompt above. Your post should use concepts presented in this module. Your post must be completed before you can see posts from your classmates.
Current dollar GDP increased 6.7 percent year on year, or $414.8 billion, to $25.66 trillion in the third quarter.
The national unemployment rate was 3.7 percent in October 2022.
What is unemployment rate?The unemployment rate is the proportion of workers in the labor force who are unemployed but actively looking for work. This measure excludes people who have not looked for work in the last four weeks.
Inflation is defined as an increase in the price of goods and services purchased by households. The rate of change in those prices is used to calculate it. Prices typically rise over time, but they can also fall (a situation called deflation).
The annual average rate of change in the gross domestic product (GDP) at market prices in constant local currency for a given national economy over a specified time period.
In this case, the percentages for the unemployment as well as the GDP of the United States is given above.
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Even though most corporate bonds in the United States make coupon payments semiannually, bonds issued elsewhere often have annual coupon payments. Suppose a German company issues a bond with a par value of €1,000, 15 years to maturity, and a coupon rate of 6.9 percent paid annually. If the yield to maturity is 8 percent, what is the current price of the bond?
Answer:
€905.85
Explanation:
The current price of the bond is its Present Value (PV) this is calculated as follows :
Fv = €1,000
n = 15
Pmt = €1,000 × 6.9% = $69
i = 8%
P/yr = 1
Pv = ?
Using a financial calculator to enter the values as above, the PV is €905.85.
Thus, the current price of the bond is €905.85.
If there is a conflict between a person’s verbal communication and non-verbal communication, people are more likely to believe their non-verbal communication. please select the best answer from the choices provided t f
If there is a conflict between a person's verbal and non-verbal communication, people are more likely to believe their non-verbal communication - TRUE
While verbal communication is essential to achieving success in both interpersonal and professional relationships, non-verbal communication – also known as body language – always speaks louder than words. Often performed automatically rather than intentionally, body language is the use of observable behaviors, attitudes, and habits for nonverbal communication.
When you communicate with other people, you are constantly sending and receiving non-verbal signals, whether you realize it or not. Your posture, tone of voice, amount of eye contact, gestures, and other nonverbal behaviors all convey important messages. They can put people at ease, inspire confidence and draw people to you, or they can irritate and confuse.
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Halp! I need an answer right away
Thank you
Answer:
see below
Explanation:
Revenue is the money a business receives by engaging in its normal trading activities. It is the money paid to the business for selling goods or services to clients. For a business to be profitable, its revenues must exceed expenses.
If the business owner has revenue of $2000 and is finding it difficult to stay in business, it means the expenses are almost or more than $2000. Revenue, as stated, is generated from sales. Expenses refer to the costs incurred in generating revenue. They include the cost of materials, rent, wages, and all other business-related expenses.
When the expenses are more than revenue, the business suffers losses. This business owner is probably incurring losses; that's why they have a challenge in staying open.
Which of the following terms describes doing things in a way that dies not deplete natural resources or damage the environment
Answer:
B. sustainability
Explanation:
Here are the options to this question
A. efficiency
B. sustainability
C. reliability
D. renewable
Sustainability involves the proper use of resources found in the environment to ensure that they last or are available for future generations.
Methods of ensuring environmental sustainability :
1. recycling
2. reducing the use of non renewable resources and using more renewable resources
3. reducing the amount of pollution
Answer:
sustainability
Explanation:
edge 22
The Food and Drug Administration sets standards for
O advertising.
O product labeling.
O the environment.
O traffic safety.
Answer:
B. Product Labeling
Explanation:
From quizlet
The Food and Drug Administration sets standards for product labeling.
What is product labeling?Product labeling is the details information of what a products entails and this is often writing on the product.
Product labeling is an important standards set by Food and Drug Administration as this help the consumer to be know the following:
The product ingredientHow healthy or unhealthy the product are etcInconclusion the Food and Drug Administration sets standards for product labeling.
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using OPEC as an example, critically evaluate the
impact of oligopoly on efficiency. what types of policies are used
to regulate oligopolies? please use graphs to support your
answer.
Oligopolies, such as OPEC (Organization of the Petroleum Exporting Countries), can have both positive and negative impacts on efficiency. On one hand, they can lead to economies of scale, innovation, and coordination among firms. On the other hand, they can also result in higher prices, reduced consumer welfare, and less competitive outcomes.
To regulate oligopolies, policymakers often employ antitrust laws, competition policies, and market regulations. These measures aim to promote competition, prevent collusion, and protect consumer interests. Graphs can illustrate the behavior and effects of oligopolies, including price and output determination, market concentration, and the potential for collusion. OPEC, consisting of major oil-producing countries, operates as an oligopoly in the global oil market. Oligopolies can result in economic inefficiencies due to their market power and the potential for collusive behavior. In the case of OPEC, the organization has the ability to control oil prices by adjusting production levels. This can lead to higher prices for consumers and reduced efficiency in resource allocation. To regulate oligopolies like OPEC, policymakers employ various policies. Antitrust laws aim to prevent anti-competitive behavior and maintain market competition. Competition policies focus on promoting open markets, preventing monopolistic practices, and encouraging entry of new firms. Market regulations may involve price controls, transparency requirements, and monitoring of market behavior.
Graphs can visually demonstrate the impact of oligopolies on efficiency. For example, a graph showing the market demand and supply curves, along with the oligopoly's marginal cost curve, can illustrate how an oligopolistic market might result in higher prices and lower output compared to a perfectly competitive market. Additionally, concentration ratios and measures such as the Herfindahl-Hirschman Index (HHI) can depict the level of market concentration and the potential for collusive behavior among oligopolistic firms. Overall, while oligopolies like OPEC may bring benefits such as economies of scale and coordination, their impact on efficiency can be mixed. Policymakers employ various measures to regulate oligopolies and promote competition in order to mitigate potential negative effects and protect consumer welfare.
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If, in addition to supplying a 350-MW load, Borduria Generation had the opportunity to sell energy on the electricity market at a price of 10.20$/MWh, what is the optimal amount of power that it should sell? What profit would it derive from this sale?
Borduria Generation can maximize its profit by selling 315 MW power. This sale will lead to a profit of $3,219,750. It should be noted that the revenue from this sale will be equal to its marginal cost. Marginal cost is equal to the variable cost of generation (excluding the fixed costs).
Borduria Generation supplies 350 MW power, and it has the opportunity to sell more power on the electricity market. However, it needs to determine the optimal amount of power that it should sell to maximize its profits. Let's calculate this:
Total Revenue = Price x Quantity of power sold
TR = 10.20 x Quantity of power sold
Now, we know that total cost is the sum of fixed cost and variable cost.
Since fixed cost is not affected by the amount of energy produced, we can ignore it.
This gives us the following equation: Total Cost = Variable Cost = VC
= 70.75 × Quantity of power produced
Therefore, Profit = TR - VC
Profit = 10.20 x Quantity of power sold - 70.75 × Quantity of power produced
Profit = (10.20 - 70.75) x Quantity of power soldProfit
= -60.55 × Quantity of power sold
The objective is to maximize profits, and this can be achieved by finding the maximum point of the profit function.
To find this point, we need to take the derivative of the profit function with respect to the amount of power sold and then equate it to zero.
dProfit/dQuantity = -60.55 = 0Quantity of power sold = 315 MW
Therefore, Borduria Generation can maximize its profit by selling 315
MW power. This sale will lead to a profit of $3,219,750.
It should be noted that the revenue from this sale will be equal to its marginal cost. Marginal cost is equal to the variable cost of generation (excluding the fixed costs).
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Managers of corporations need to act in an ethical manner O A. because ethics violations will be punished by the law a B. because a business must be trusted by investors, customer and the public if it is to succeed. C. because business managers must answer to a higher authority O D. because ethical behavior is its own justification
Managers of corporations need to act in an ethical manner because a business must be trusted by investors, customers, and the public if it is to succeed. Here option B is the correct answer.
Trust is an essential component of any successful business, and it is based on the belief that a company will act with integrity, honesty, and responsibility toward its stakeholders.
Ethical behavior in business is not only a moral obligation but also a critical factor in building a positive corporate reputation, attracting and retaining employees, fostering innovation, and creating long-term value for shareholders. Companies that prioritize ethical behavior are more likely to be successful and sustainable in the long run, as they are better equipped to manage risks, adapt to changing market conditions, and maintain the loyalty of their stakeholders.
Therefore, ethical behavior is not just a matter of compliance or legal requirements but a crucial aspect of corporate responsibility and business strategy.
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Which factors can affect a stock's price? Check all that apply.
market performance
the company's financial health
the quantity products produced
location of the company
the economy
Answer:
market performance
the company's financial health
the economy
Explanation:
Stocks or shares represent small units of ownership in a business. The stocks of a public limited company are traded in the stock exchange markets. Investors trading shares are guided by the potential to make profits in deciding what shares to buy.
Share that shows signs of good returns attract many buyers. Investors will focus on a company's financial health as presented in financial statements, the overall state of the economy, and the general market performance to evaluate profits potential. If the conditions are favorable, a stock price will always be rising and present opportunities for profits.
Answer:
1, 2, 5
Explanation:
compute 's current ratio, debt ratio, and earnings per share. round all ratios to two decimal places. begin by selecting the formula for each ratio.
To compute the current ratio, debt ratio, and earnings per share, we need to use specific formulas for each ratio.
1. Current Ratio: The current ratio measures a company's ability to cover its short-term liabilities with its short-term assets. It is calculated by dividing current assets by current liabilities. Formula: Current Ratio = Current Assets / Current Liabilities Example: Let's say a company has current assets of $100,000 and current liabilities of $50,000.
Current Ratio = $100,000 / $50,000 = 2
Therefore, the current ratio of the company is 2.
2. Debt Ratio: The debt ratio measures the proportion of a company's assets that are financed by debt. It is calculated by dividing total debt by total assets.Formula:Debt Ratio = Total Debt / Total Assets
Example: Suppose a company has total debt of $500,000 and total assets of $1,000,000. Debt Ratio = $500,000 / $1,000,000 = 0.5
Hence, the debt ratio of the company is 0.5.
3. Earnings per Share (EPS): Earnings per share represents the portion of a company's profit allocated to each outstanding share of common stock. It is calculated by dividing net income by the weighted average number of outstanding shares.Formula: EPS = Net Income / Weighted Average Number of Outstanding Shares Example: Assume a company has a net income of $500,000 and 100,000 outstanding shares.
EPS = $500,000 / 100,000 = $5 per share
Therefore, the earnings per share of the company is $5.
Remember to round all ratios to two decimal places, as requested.
Keep in mind that different companies and industries may have varying benchmarks for these ratios. It is important to compare a company's ratios to industry standards or similar companies to gain a more comprehensive understanding of their financial position.
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To compute the current ratio, debt ratio, and earnings per share, we need to use specific formulas for each ratio.
1. Current ratio: The current ratio measures a company's ability to cover its short-term liabilities with its short-term assets. It is calculated by dividing current assets by current liabilities.
Current ratio = Current Assets / Current Liabilities
2. Debt ratio: The debt ratio compares a company's total debt to its total assets and shows the proportion of a company's assets that are financed by debt. It is calculated by dividing total debt by total assets.
Debt ratio = Total Debt / Total Assets
3. Earnings per share (EPS): EPS is a measure of a company's profitability and represents the amount of profit attributable to each outstanding share of common stock. It is calculated by dividing net income by the average number of shares outstanding.
EPS = Net Income / Average Number of Shares Outstanding
Please note that these formulas are the general ones used to calculate these ratios. However, the specific details may vary depending on the financial statements or information provided. To calculate each ratio, you will need the relevant information from the financial statements of the company in question. For example, you would need the current assets and current liabilities to calculate the current ratio, the total debt and total assets to calculate the debt ratio, and the net income and average number of shares outstanding to calculate the EPS.
Once you have gathered the necessary information, you can substitute the values into the respective formulas and calculate the ratios. Remember to round the ratios to two decimal places as specified.
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why am i never hungry?
The condition of never feel hungry comes under the possible cause of loss appetite in which your appetite might also be suppressed by hormonal changes, a persistent disease, and drugs.
What do you understand by the loss of appetite?A lack of appetite is a symptom with a wide range of potential explanations. When you are not hungry, this happens. Anorexia is the medical word for a lack of appetite. Compared to the eating disorder anorexia nervosa, this is distinct.
Anxiety, depression, and stress are a few mental health problems that can negatively impact appetite levels. A decrease in appetite can also be brought on by other medical issues, including pregnancy, hypothyroidism, and more.
Lack of appetite can occasionally be an indication of other illnesses, such as hypothyroidism, diabetes, or even cancer.
Therefore, the condition of never feel hungry comes under the possible cause of loss appetite in which your appetite might also be suppressed by hormonal changes, a persistent disease, and drugs.
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Select the education or qualification that is best demonstrated in each example. Freda interviews a famous local athlete on a television news show. Essie gets a four-year college degree in journalism. Lester creates a chart mapping out all the news stories a newspaper will publish over the next week. Ramon identifies sources of information and sorts out facts.
Answer:
1. communication skills 2. bachelors degree 3. planning and organizational skills 4. research skills
Explanation:
took the test
Answer:here’s the answer for this question
Explanation:edge2023
Trade Barrier protect jobs? True or false
Answer:
your awnser is false if im wrong messages me:)
The present value interest factor for an annuity with an interest rate of 8 percent per year over 20 years is ____.
The present value factor of an annuity that will mature in 20 years at an interest rate of 8% is 9.8181474.
What is the present value interest factor?It can be found by using the present value of an annuity formula of:
= Amount x ( 1 - ( 1 + rate) ^ - number of periods) / Rate
As there is no amount, solving gives:
= ( 1 - ( 1 + 8%) ⁻²⁰) / 8%
= 9.8181474
In conclusion, it is 9.8181474.
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Jessi has received a loan to start her new bakery. She wants to make sure that she spends the money wisely, getting all of the machinery, tools, and ingredients that she will need to make her bakery a success. What should Jessi make FIRST to make to make sure to manage her money so that she prioritizes what she needs for her bakery?
buying plan
sales forecast
profit margin
investment
Since Jessi has received a loan to start her new bakery, and he wants to make sure that she spends the money wisely, getting all of the machinery, tools, and ingredients that she will need to make her bakery a success. What she should make FIRST to make sure to manage her money so that she prioritizes what she needs for her bakery is a "buying plan" (Option A)
What is the definition of a "Buying Plan"?A buying plan, sometimes known as a buying club, is a sort of plan that obligates a buyer to purchase products on a fixed timetable, to acquire items that a seller may deliver without warning, or to pay membership fees in exchange for the right to purchase at a supposedly discounted price.
Goods planning and procurement is a systematic strategy used by retailers to predict merchandise inventory requirements and negotiate the best terms with suppliers.
Typically, retailers employ a centralized buyer or team of buyers that supervise the chain's purchasing process. They may have additional local or regional merchandise managers that supervise merchandise implementation in stores.
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1. Your friend asks to borrow $50 and offers to pay you back with interest. What factors
would you consider in your decision to accept or decline their request?
The factors that you have to think about would before giving out the loan would be the following:
The loan periodThe ability to pay back the loanThe interest that is on the loanHow the money is to be returned.What is a loan?This is the term that is used to refer to an amount of money that would be given to a person that is the borrower by the lender for a period pf time and for them to pay back with interest.
To be able to determine if you are to give out a loan, you have to take the ability of the person to pay you back the amount as a fator.
Also you have to check the character of the person that you are to loan the money to.
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Using the pie chart in your reading, what percentage of our total tax dollars is used by the federal gov. to fund the social security and Medicare programs?
Answer: 38%
The percentage spent on Social Security and Medicare of the total is = 28.32% of the Total Spending.
The total amount of funds used by the Federal Government for social security and Medicare in the year 2020 is $1.869 Trillion.
The total Medicare and Social Security spending:
Medicare ($ 769,000,000,000) + Social Security ($ 1,100,000,000,000) =
Total ($ 1,869,000,000,000) or $1.869 Trillion
The percentage of the Medicare and Social Security spending as a percentage of the total spend:
The Total Spend = $6.6 Trillion (or $6,600,000,000,000)
The percentage spent on Social Security and Medicare of the total is:
Formula = (Value / Total) x 100%
= ($1.869 Trilion/$6.6 Trillion) x 100%
= ($ 1,869,000,000,000/$6,600,000,000,000) x 100%
= 0.28318181818 X 100%
= 28.32%
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Question 1 of 10
Which of the following best describes what a manager does?
Answer:
Explanation:
Manager is responsible to integrates all the activities which are performed in an organisation. In other words, he has to co-ordinate the talents of people working under him for the purpose of achieving the organisational goals. The role of a manager gets much importance than other executives in an organisation.
describe five main characteristics of hire purchase
The five main characteristics of hire-purchase are following-
Payment of the installments are to be done by the buyer such that the hirer to the seller over the specified period of time.Buyer gets the possession of the goods immediately.The ownership of goods is transferred to the buyer only upon the payment of last installment.The hire purchase installment amount includes the principal amount as well as the interest charged upon it.Interest is generally charged on the flat rate.In hire purchase agreement there are two parties where one is the seller of the asset and one is the person who wants to buy such asset.
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Genera 5
3
Select the correct answer.
Which relationship is possible when two tables share the same primary key?
O A one-to-one
ОВ.
one-to-many
OC. many-to-one
OD. many-to-many
Reset
Next
Question:
Which relationship is possible when two tables share the same primary key?
Explanation:
One-to-one relationship.