The sub-sectors within the wholesale industry include merchant wholesalers, agents and brokers, and manufacturers' sales branches and offices. The retail industry, on the other hand, is divided into various categories such as department stores, discount stores, specialty stores, supermarkets, convenience stores, and e-commerce retailers.
The different sub-sectors and categories within the wholesale or retail industry include:
1. Food and beverage: This sub-sector comprises businesses that sell groceries, beverages, fresh produce, meat, and other food items.
2. Apparel and accessories: This category includes businesses that sell clothing, footwear, jewelry, and other fashion accessories.
3. Electronics and appliances: This sub-sector consists of businesses selling electronic devices, such as smartphones, computers, and household appliances.
4. Health and personal care: This category includes businesses selling pharmaceuticals, beauty products, and personal care items.
5. Home furnishings and furniture: This sub-sector consists of businesses selling furniture, home decor, and other household items.
6. Sporting goods, hobby, and music: This category includes businesses that sell sports equipment, musical instruments, and hobby supplies.
7. Building materials and garden equipment: This sub-sector includes businesses selling construction materials, hardware, and garden equipment.
8. Gasoline stations: This category comprises businesses that sell fuel and other automotive products.
9. Nonstore retailers: This sub-sector includes businesses that sell products online, through catalogs, or via direct sales methods.
These sub-sectors and categories represent the various segments within the wholesale or retail industry, offering a wide range of products and services to consumers.
In conclusion, the wholesale and retail industry is vast and diverse with various sub-sectors and categories. Understanding these sub-sectors and categories is essential for businesses and consumers alike to make informed decisions and succeed in the market.
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Se venció una letra de cambio por $2,000 hace tres meses y se cobra el 1% mensual más IVA (16%) de intereses. Cual es el ajuste
Answer:
ajuste por moras e intereses = $23.20
valro de la letra de cambio = $2,000
total $2,023.20
Explanation:
el interes real que se cobra por mes = 1% x (1 + 16%) = 1.16%
el valor total de los intereses cobrados mas la letra inicial = $2,000 x (1 + 1.16%)³ = $2,000 x 1.016³ = $2,023.20
ajuste por moras e intereses = $23.20
valro de la letra de cambio = $2,000
total $2,023.20
what is 4+4x=8. What would x be???
The value of x that satisfies the equation 4+4x=8 is x = 1.
How to find the value xTo solve for x in the equation 4+4x=8, we need to isolate x on one side of the equation.
First, we can simplify the left side of the equation by combining the like terms:
4 + 4x = 8
4x = 8 - 4
4x = 4
Next, we can solve for x by dividing both sides of the equation by 4:
4x/4 = 4/4
x = 1
Therefore, the value of x that satisfies the equation 4+4x=8 is x = 1.
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What might be an advantage of using credit
trade restriction could be beneficial according to the:a. heckscher-ohlin theoryb. new trade theoryc. comparative advantage theoryd. absolute advantage theory
According to the Heckscher-Ohlin theory, trade restrictions could be beneficial as they protect domestic industries that use abundant factors of production, such as labor or capital.
This is because trade can lead to an increase in the demand for factors of production that are relatively scarce in a country, which could result in higher wages or rents for those factors. However, the new trade theory and the comparative advantage theory both argue that trade restrictions are generally harmful as they reduce the gains from trade and lead to higher prices for consumers. The absolute advantage theory, on the other hand, suggests that countries should specialize in producing goods where they have an absolute advantage and trade with other countries to obtain goods where they have a comparative disadvantage, regardless of any trade restrictions.
Trade restrictions could be beneficial according to the b. New Trade Theory. This theory suggests that economies of scale, imperfect competition, and product differentiation can lead to a situation where trade restrictions might be advantageous for protecting domestic industries and enhancing competitiveness in the global market.
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An advantage of doing company research before an interview is a. It improves the applicant's ability to market their skills b. It can increase the confidence of the applicant c. It can compensate for a lack of experience d. All of the above Please select the best answer from the choices provided Brainly
Answer:
D. All of the above
Explanation:
All the given statements are advantages of doing company research before an interview. Thus, option 'D' is the correct option.
What are the benefits of a research interview?Prior research about a potential job enables you to learn. You'll pick up useful knowledge about their company, their customers, and the market in general. Gaining expertise will therefore make you feel more at ease and confident throughout the interview. The interviewer will be able to see that you performed your research. especially if you are able to really speak with them about the position and the company.
You may get a deeper understanding of a firm by understanding its mission statement and core values. Gaining knowledge of the employer's priorities and areas of concern will enable you to better understand who they are. Simply put, conducting a study before to your interview will show that you are serious about the position.
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the most important step for a company in strategic environmental scanning is
The most important step for a company in strategic environmental scanning is to identify the critical information needed to develop a strategy and implement it. Companies use strategic environmental scanning to collect, analyze, and interpret information to create a business strategy that is compatible with the environment.
Scanning involves examining the internal and external environments that influence an organization's success and competitiveness. Identifying the critical information required to create a strategy and implement it is a crucial step in strategic environmental scanning. The following steps are typically involved in strategic environmental scanning.
Collecting information from the internal and external environments3. Analyzing and interpreting the data collected4. Identifying the organization's strengths, weaknesses, opportunities, and threats 5. Creating a strategy based on the findings6. Implementing and evaluating the strategy over time
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What type of industry would Tim Hortons and McDonalds be classified as?
a company’s _ tells you how much money the company has left over after subtracting all expenses
Answer:
A company's net profit tells you how much money the company has left over after subtracting all expenses.
Explanation:
A net profit, is when all of the companies money is spent on the things they need... and then it shows you what is left over. A company's profit is called net income or net profit. Net profit or income, is the total money remaining after accounting all of the cash flows, positive and negative numbers included.
Hope this helps! Brainliest plz? :)
Customer experience management is a business science with the direct purpose of:
As for customer experience management, Gartner sums it up pretty well in its definition: “the practice of designing and reacting to customer interactions to meet or exceed customer expectations and, thus, increase customer satisfaction, loyalty and advocacy.”
Customer satisfaction (CSAT) is a metric for gauging how well a company's goods, services, and general customer experience live up to expectations. By demonstrating how well your goods or services are received by customers, it represents the health of your firm.
In marketing, the phrase "customer satisfaction" is commonly used. It evaluates whether a company's goods and services meet or exceed customers' expectations.
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When inserting an image that needs to appear directly below a section heading with other text below the image, the image should be formatted as
In Line with Text.
Square with Text.
Tight with Text.
Behind Text.
Answer:
In line with the text
Explanation:
Answer:
In line with the text
In line with the text
In line with the text
In line with the text
In line with the text
In line with the text
In line with the text
In line with the text
In line with the text
In line with the text
Explanation:
A person has just been awarded an income increase to offset the effects of an increase in the overall cost of living in his country. This increment is tied to the consumer price index (CPI), which recently escalated from 110 to 112. What should his new salary be if he was earning $30,000 per year before the increase in the CPI
The person's new salary based on the new CPI of 112 should be $30,545.
What is the consumer price index (CPI)?The Consumer Price Index (CPI) is an aggregate measure of the average price changes over time for a market basket of consumer goods and services. The index is used by businesses, governments, and individuals to gauge the inflation trend in the economy.
Data and Calculations:
Old CPI = 110
New CPI = 112
Old salary = $30,000
New salary = $30,545 ($30,000/110 x 112)
Thus, the person's new salary based on the new CPI of 112 should be $30,545.
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The slope of a demand curve is not used to measure the price elasticity of demand because.
The correct option is C.
The measurement of slope is sensitive to the units chosen for price and quantity.
What Is Meant by Elasticity in Economics?The term "elasticity" refers to a measurement of how responsively a quantity that is required or supplied is to one of its determinants. When a factor, like as price or supply, changes, the demand for a good responds quickly. Conversely, items that are inelastic maintain their demand even when prices increase significantly.
How do we measure elasticity?The calculation for this indicator, also known as cross-price elasticity of demand, involves dividing the percentage change in the amount demanded of one good by the percentage change in its price.
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I understand that the question you are looking for is:
The slope of a demand curve is not used to measure the price elasticity of demand because
A) the slope of a linear demand curve is not constant.
B) the slope of a line cannot have a negative value.
C) the measurement of slope is sensitive to the units chosen for price and quantity.
D) the slope of the demand curve does not tell us how much quantity changes as price changes.
Which of the following represents an isocost line?
C = TC + FC
C = FC + VC
C = TC - VC
C = wL + rK
The equation C = wL + rK represents an isocost line, showing combinations of labor and capital that can be purchased at a given total cost.
C = wL + rK represents an isocost line.
An isocost line shows the various combinations of inputs (in this case, labor and capital) that can be purchased at a given total cost (C).
In the equation C = wL + rK, w represents the wage rate for labor, L represents the quantity of labor, r represents the rental rate for capital, and K represents the quantity of capital.
By varying the quantities of labor and capital, the total cost remains constant along the isocost line.
Therefore, option D) C = wL + rK correctly represents an isocost line.
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How is a 401k different from an individual retirement account (IRA)?
A 401k is a good long-term investment strategy.
A 401k allows people to contribute before taxes.
A 401k is created by an individual who deposits money.
A 401k is created by an employer who may match contributions.
what is the difference of communism and socialism?
ebook firms hl and ll are identical except for their financial leverage ratios and the interest rates they pay on debt. each has $11 million in invested capital, has $1.65 million of ebit, and is in the 25% federal-plus-state tax bracket. both firms are small with average sales of $25 million or less during the past 3 years, so both are exempt from the interest deduction limitation. firm hl, however, has a debt-to-capital ratio of 60% and pays 12% interest on its debt, whereas ll has a 25% debt-to-capital ratio and pays only 9% interest on its debt. neither firm uses preferred stock in its capital structure. calculate the return on invested capital (roic) for each firm. round your answers to two decimal places. roic for firm ll: % roic for firm hl: % calculate the return on equity (roe) for each firm. round your answers to two decimal places.
The ROIC for firm HL is 12% and the ROIC for firm LL is also 12%.
How do you calculate the return of equity?The formula for determining ROIC is posted below.
{ROIC} = {{EBIT}(1-T)}{{Total invested capital}}
ROIC= Total invested capital EBIT(1−T)
We are aware that both businesses have a 40% tax rate, $4 million in EBIT, and $20 million in total invested capital. The ROIC and the return of equity will be the same for both businesses because these factors are all the same.
ROIC= {$4,000,000(1-0.40)}{$20,000,000}
$20,000,000
$4,000,000(1−0.40)
ROIC= {$2,400,000}{$20,000,000}
$20,000,000
$2,400,000
ROIC= .12 or 12%
The ROIC is 12% for both firms
The ROIC for firm HL is 12% and the ROIC for firm LL is also 12%.
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write me a 8 sentence pitch or more for a donut shop
Answer:
come down to our donut shop. please come down and get some donuts. we sell the best donuts here. thank you for your consideration.
we hope you enjoy our donuts.
Explanation:
haha
A mall with two levels is under construction. The plan is to install only 9 escalators at the start, although the ultimate design calls for 16. The question arises as to whether to provide necessary facilities (stair supports, wiring conduits, motor foundations, etc. ) that would permit the installation of the additional escalators at the mere cost of their purchase and installation or to defer investment in these facilities until the escalators actually need to be installed. Additional annual expenses are estimated at $7,000 for each escalator after it's installed. Assume these costs begin one year after the installation. At an interest rate of 12%, compare the net present worth of each option over eight years. The two options are:
The values of A, B, C, and D will depend on the specific costs and expenses associated with installing and operating the escalators.
To compare the net present worth of each option, we need to calculate the present value of all cash flows associated with each option using a discount rate of 12%. Here is how to calculate the net present worth of each option:
Option 1: Install all 16 escalators at once
Initial cost of installing all 16 escalators = Cost of purchase and installation for 16 escalators = X
Annual cost of owning and operating 16 escalators:
= Cost of owning and operating 9 escalators + Additional expense of owning and operating 7 escalators
= (Cost of owning and operating 9 escalators) + ($7,000 x 7)
= Y
Total cash outflow = X + Y
Net present worth = -X - Y / \((1 + 0.12)^8\)
Option 2: Install 9 escalators at the start and install the remaining 7 escalators when needed
Initial cost of installing 9 escalators = Cost of purchase and installation for 9 escalators = A
Cost of providing necessary facilities for future installation of 7 escalators:
= Cost of facilities = B
Annual cost of owning and operating 9 escalators:
= Cost of owning and operating 9 escalators = C
Annual cost of owning and operating 7 additional escalators:
= Additional expense of owning and operating 7 escalators = $7,000 x 7 = D
Total cash outflow = A + B + (C x 8) + (D x each year escalator is installed)
Net present worth :\(-A - B - (C * 8) - (D * 1 / (1 + 0.12)^1) - (D * 1 / (1 + 0.12)^2) - ... - (D * 1 / (1 + 0.12)^8)\)
By computing the net present worth of each option, we can conclude which option is more favorable. The values of A, B, C, and D will depend on the specific costs and expenses associated with installing and operating the escalators.
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Amazonians count their tenure by their number of peaks. How many peaks has amazon’s ceo of worldwide stores, doug herrington, been at amazon?.
Amazonians count their tenure by their number of peaks. How many peaks has amazon’s CEO of worldwide stores, doug herrington, been at amazon Doug Herrington has served as CEO Worldwide Amazon Stores due to the fact July 2022.
He turned into formerly senior vice chairman and CEO of Amazon Web Services from 2003 to 2021, and turned into decided on via way of means of Jeff Bezos all through the 2020 fourth quarterly effects whilst Bezos have become govt chairman.
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Companies that are employee-owned are commonly thought to be more profitable than are publicly-owned companies or companies with a single owner. If employees have a financial stake in the company, it is in their interest to work harder. If profit goes primarily to stockholders or a small group of owners, employees have less incentive to work hard. Yet, in a comparison of airline companies, Wingspan Airlines, which is entirely employee-owned, has recorded losses for the previous three quarters, whereas Longflite Airlines, which is owned by billionaire Martin Pearson, has recorded record profits for the previous three quarters.Which of the following, if true, best supports the conclusion that employee-owned companies are more profitable than are non-employee-owned companies?A. Wingspan Airlines has recently initiated routes to New Zealand, Australia, and Tahiti.B. Longflite Airlines has been owned by Martin Pearson for only six months.C. A cosmetics company that is entirely employee-owned has, in the last year, increased its market share by 18 percent.D. Profits recorded by Longflite Airlines include profits earned by a subsidiary that manufactures airplane parts, and because of a nationwide drop in airplane travel, all airline companies have chosen to repair their older planes rather than spend dwindling revenues on new planes.E. The employees of Wingspan Airlines voluntarily took pay cuts to give the company a chance to recover, and the employees of Longflite recently went on strike to protest poor working conditions.
Answer:
D. Profits recorded by Longflite Airlines include profits earned by a subsidiary that manufactures airplane parts, and because of a nationwide drop in airplane travel, all airline companies have chosen to repair their older planes rather than spend dwindling revenues on new planes.
Explanation:
In the given instance it is stated that Wingspan Airlines, which is entirely employee-owned, has recorded losses for the previous three quarters, whereas Longflite Airlines, which is owned by billionaire Martin Pearson, has recorded record profits for the previous three quarters.
This is in conflict with the fact that employee-owned are commonly thought to be more profitable than are publicly-owned companies or companies with a single owner.
The option that justifies this in the given instance is if every company is suffering and making losses but Longflite Airlines (which is owned by billionaire Martin Pearson) is making profit from a subsidiary that manufactures plane parts.
This will give Long life Airlines a clear advantage over other companies including the employee owned Wingspan Airlines.
justin is purchasing his third car in the past five years. he has been a car enthusiast ever since he was a young boy. justin likes to spend his free time looking at car magazines, going to car shows, and watching nascar. justin's interest in cars is referred to as
Justin's interest in cars can be referred to as a passion or hobby. His dedication to cars is evident from his interest in car magazines, car shows, and NASCAR. It seems that Justin is always looking for ways to engage with cars, whether it be through reading about them, observing them, or watching them in action.
While some may view owning multiple cars in a short period as a sign of extravagance, for Justin it could simply be a way to satisfy his passion for cars. It's possible that Justin enjoys experiencing different types of cars and wants to explore different models and brands. Alternatively, he may see cars as more than just a means of transportation, but as an extension of his identity and personality.
Whatever the reason behind his interest, it's clear that cars play an important role in Justin's life. His enthusiasm for them is likely to continue for many years to come, and we can expect to see him continue to explore and engage with the world of cars in various ways.
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Indicate the impact (increase/decrease/no change) for each of the following transactions on total assets, liabilities, and owners' equity.
(a) Paid the current month's rent.
(b) Provided services to customers for cash.
(c) Provided services to customers on account.
(a) Paid the current month's rent:
- Impact on total assets: Decrease. Cash, which is a component of total assets, is reduced when the rent payment is made.
- Impact on liabilities: No change. There is no change in liabilities since the payment of rent does not involve any borrowing or repayment of debts.
- Impact on owners' equity: No change. The payment of rent does not directly affect owners' equity.
(b) Provided services to customers for cash:
- Impact on total assets: No change. The provision of services for cash increases the cash component of total assets, offsetting the increase in accounts receivable.
- Impact on liabilities: No change. There is no change in liabilities as cash is received directly from customers.
- Impact on owners' equity: No change. The provision of services for cash does not directly affect owners' equity.
(c) Provided services to customers on account:
- Impact on total assets: Increase. Accounts receivable, which is an asset, increases as services are provided to customers on credit.
- Impact on liabilities: No change. There is no immediate change in liabilities as the customers' payment is pending.
- Impact on owners' equity: No change. The provision of services on account does not directly affect owners' equity.
Overall, the impact on total assets, liabilities, and owners' equity for each transaction is as follows:
(a) Paid the current month's rent: Total assets decrease, liabilities remain unchanged, and owners' equity remains unchanged.
(b) Provided services to customers for cash: Total assets remain unchanged, liabilities remain unchanged, and owners' equity remains unchanged.
(c) Provided services to customers on account: Total assets increase, liabilities remain unchanged, and owners' equity remains unchanged.
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(03.02 LC)
Which of these might decrease the length of a mortgage loan?
Property taxes
O Insurance
O Amount owed
Collateral
Answer:
D.) Collateral
Explanation:
Tbh I'm not confident on this choice, but real estate basically is just a fancy term for property, for those who don't know. A collateral is a piece of property that can be sold by the lender to recover all or part of a loan if the borrower fails to repay. So with that being said, the only logical choice in my opinion would be D, or Collateral.
Collateral might decrease the length of a mortgage loan. As it minimises the risk for the mortgage loan.
What is mortgage loan?Mortgage loan is the fund that is provided to the lender against the immovable assets or property, or collateral to the Borrower. The lender used to keep the assets until their loan is repaid by the person.
Thus, option C is correct.
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3. What does the segment suggest to guard against employee misuse of workplace technology? *
Answer:
Economics
Explanation:
What is a stock exchange?
A. A place where investors can buy and sell different
investments.
B. A type of bank that buys and sells different types of
investments.
C. An organization that owns shares of stock.
D. None of the above
Answer:
A. A place where investors can buy and sell different investments.
Explanation:
A stock exchange is a place for the exchange of stocks in the market. In other words, it is a place where investors could 'meet' to buy or sell stocks, be it investments, company shares, or company securities.
A stock market, in simple words, is the marketplace for the buying and selling of investments, a trading place for buyers and sellers. So, a stock exchange is a transaction dealing with stocks, equities, or shares of the commercial world. And the transaction or exchange can only be done if the stock is listed on an exchange.
Thus, the correct answer is option A.
Answer:
A. A place where investors can buy and sell different investments.
Explanation:
The concept behind how the stock market works is pretty simple. Operating much like an auction house, the stock market enables buyers and sellers to negotiate prices and make trades. ... Investors can then buy and sell these stocks among themselves, and the exchange tracks the supply and demand of each listed stock.
The Allen Export Company ships sugar to many overseas ports. Over the years the company has stacked large bags of sugar onto pallets for shipping. Because of a lumber shortage, pallets for export have become very difficult to obtain. The management of Allen Export has presented the dock manager with the challenge of reducing the number of wooden pallets used and/or to find a new way to supplement or change their stevedoring system.
Answer:
Throughout the given scenario following are the points, should be achieved to reduce the pallet crisis.
Explanation:
The export business faces the above-mentioned issue of that same lack of wooden pallets towards distribution.
The tightly packed sugar bags might be utilized easily, allowing for easy release of pallets and therefore also available for several other reasons or uses.Rather than just being placed throughout pallets the enterprise should contain sugar bags in what seems like different warehouses.what was the name of the data and relationship model developed by peter chen in 1976?
Entity–relationship modeling was the name of the data and relationship model developed by Peter Chen in 1976.
What does "entity relationship model" mean?In terms of entities and relationships, the entity relationship model (ERM) is a conceptual model that depicts the information structure of a problem area. An entity relationship diagram (ERD) is a visual representation of the modelling outcome produced by the ERM (ERD).
What is the ER model's significance?The conceptual design of databases is frequently described by an ER Diagram in DBMS. Viewing the database's structure before adopting it benefits both users and database developers.
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Which knowledge area has been identified by architects, carpenters, and building inspectors as important in their work?
mathematics
building and construction
design
customer and personal service
Answer:
Building and Construction
Explanation:
Edg
Interstate manufacturing is considering either overhauling an old machine or replacing it with a new machine. Information about the two alternatives follows. Management requires a 8% rate of return on its investments. (pv of $1, fv of $1, pva of $1, and fva of $1) (use appropriate factor(s) from the tables provided. ) alternative 1: keep the old machine and have it overhauled. This requires an initial investment of $150,000 and results in $60,000 of net cash flows in each of the next five years. After five years, it can be sold for a $10,000 salvage value. Alternative 2: sell the old machine for $30,000 and buy a new one. The new machine requires an initial investment of $305,000 and can be sold for a $20,000 salvage value in five years. It would yield cost savings and higher sales, resulting in net cash flows of $50,000 in each of the next five years. Required: 1. Determine the net present value of alternative 1. 2. Determine the net present value of alternative 2. 3. Which alternative should management select based on net present value?
Using the appropriate PVA factor for a 8% rate of return, the calculation for the net present value of alternative 1 is as follows:
NPV1 = -150,000 + (60,000 x PVA8%, 5) + (10,000 / (1 + 0.08)^5)
To determine the net present value (NPV) of alternative 2, we need to calculate the present value of the net cash flows and the salvage value. The cash flows are $50,000 per year for five years, and the salvage value is $20,000 after five years. We will use the present value of an annuity (PVA) factor.Using the appropriate PVA factor for a 8% rate of return, the calculation for the net present value of alternative 2 is as follows: NPV2 = 30,000 + (50,000 x PVA8%, 5) + (20,000 / (1 + 0.08)^5) - 305,000
To determine which alternative management should select based on net present value, we compare the calculated NPVs. If NPV is positive, the project is expected to generate more returns than the required rate of return (8% in this case). If NPV is negative, it indicates the project may not meet the required rate of return.Therefore, management should select the alternative with the higher net present value (NPV) between alternative 1 and alternative 2.
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a stock with a current market price of $15.70 has an associated call option priced at $4.30 and a strike price of $12.50. this call has an intrinsic value of and a time value of . a) $4.30; $0 b) $3.20; $1.10 c) $1.10; $3.20 d) $0; $4.30
A stock with a current market price of $15.70 has an associated call option priced at $4.30 and a strike price of $12.50. this call has an intrinsic value of and a time value of $3.20 and $1.10. The correct option is B.
What is the intrinsic value?The current market price of the stock = $15.70
The associated call option price = $4.30
Strike price = $12.50
Firstly, we need to find the intrinsic value of the call option which is the difference between the current market price of the stock and the strike price of the option.
The intrinsic value = (Current market price - Strike price) = ($15.70 - $12.50) = $3.20
Time value = Call option price - Intrinsic value = $4.30 - $3.20 = $1.10
Therefore, the intrinsic value of the call option is $3.20 and the time value of the call option is $1.10.
Therefore, the correct option is B.
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