The number of constraints in network flow problems is determined by the number of arcs. The correct answer is option b.
In network flow problems, the objective is to determine the optimal flow of goods or services between nodes in a network. The network is represented as a graph, where nodes represent sources or sinks of goods or services, and arcs represent the flow of goods or services between nodes.
The constraints in a network flow problem represent limitations on the flow of goods or services between nodes. For example, there may be capacity constraints on the arcs that limit the amount of flow that can pass through them.
The number of constraints is determined by the number of arcs in the network, as each arc can potentially have one or more constraints associated with it.
Nodes, demands, and supplies also play important roles in network flow problems, but they do not directly determine the number of constraints. Demands and supplies specify the amount of flow that must enter or leave each node, and nodes represent the sources and sinks of flow in the network.
The correct answer is option b.
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The Nelson Company has $1,200,000 in current assets and $480,000 in current liabilities. Its initial inventory level is $305,000, and it will raise funds as additional notes payable and use them to increase inventory. How much can Nelson's short-term debt (notes payable) increase without pushing its current ratio below 2.0? Do not round intermediate calculations. Round your answer to the nearest dollar. $ What will be the firm's quick ratio after Nelson has raised the maximum amount of short-term funds? Do not round intermediate calculations. Round your answer to two decimal places.
The Nelson Company has $1,200,000 in current assets and $480,000 in current liabilities. Its initial inventory level is $305,000, and it will raise funds as additional notes payable and use them to increase inventory.
To avoid a decline in the current ratio below 2.0, how much can Nelson's short-term debt (notes payable) increase?The formula for calculating the current ratio is:
Current ratio = Current assets / Current liabilities. A current ratio of 2:1 or greater is generally considered acceptable for most enterprises. So, the current ratio is as follows:
Current ratio = $1,200,000 / $480,000 = 2.5 times
Let us now determine the maximum amount of short-term funds the company may obtain without pushing its current ratio below 2.0. Assume that the company raises the amount of additional notes payable, X dollars, and uses it to buy inventory. The maximum quantity of notes payable that can be added to inventory without causing the current ratio to fall below 2.0 is then determined as follows:
$1,200,000 / ($480,000 + X) ≥ 2.0$480,000 + X ≤ $600,000X ≤ $120,000
Thus, the maximum amount of additional notes payable is $120,000. If Nelson were to increase its notes payable by the maximum amount, its current liabilities would increase by $120,000, from $480,000 to $600,000. As a result, Nelson's current ratio would decline as follows:
Current ratio = $1,200,000 / $600,000 = 2.0 times
Let us now calculate the company's quick ratio after it has raised the maximum amount of short-term funds. The Quick ratio is determined by dividing the current assets by the difference between the current assets and the inventory. QR = (Current assets – inventory) / Current liabilities The calculation of quick ratio is as follows:
Quick ratio = ($1,200,000 − $305,000) / $480,000 = 1.99 times
The quick ratio after Nelson has raised the maximum amount of short-term funds will be 1.99 times.
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When it comes to investing, what is the best approach to very optimistic and big news about a new company? (5 points)
a
Invest right away; trust the news.
Caution; research the company first.
O Invest a large amount through a financial advisor.
Contact the company to obtain information.
Answer:
caution research company first
Explanation:
safest option
How external costs are example of market failure
Answer:
An external cost occurs when producing or consuming a good or service imposes a cost (negative effect) upon a third party. If there are external costs in consuming a good (negative externalities), the social costs will be greater than the private cost. The existence of external costs can lead to market failure.
Explanation:
Question 11 You own all the equity of R.G.C. I Ltd. The company has no debt. The company's annual cash flow is GH$900,000 before interest and taxes. The company tax rate is 35%. You have the option to exchange 1/2 of your equity position for 5% bonds with a face value of GH€2,000,000. i. What is the value of the unlevered firm? ii. What is the value of the levered firm? iii. Assuming a bankruptcy cost of GHe 8000, what is the value of the levered firm after considering bankruptcy cost? Question 12 a. Weston Industries has a debt-equity ratio of 1.5. Its WACC is 11 percent, and its cost of debt is 7 percent. The corporate tax rate is 35 percent. i. What is Weston's cost of equity capital? What is Weston's unlevered cost of equity capital? What would the cost of equity be if the debt-equity ratio was 2? What if it were 1.0? What if it were zero? b. Shadow Corp. has no debt but can borrow at 8 percent. The firm's WACC is currently 11 percent, and the tax rate is 35 percent. i. What is Shadow's cost of equity? ii. If the firm converts to 25 percent debt, what will its cost of equity be? iii. If the firm converts to 50 percent debt, what will its cost of equity be? iv. What is Shadow's WACC in part (b)? In part (c)?
Question 11:
i. The value of the unlevered firm is:GH$900,000 ÷ 0.65 = GH$1,384,615.38ii. The value of the levered firm is calculated as follows:VL = VU + PV (Tax shield) - PV (Financial distress cost)PV (Tax shield) = 0.35 x 2,000,000 x 0.05 = GH€35,000PV (Financial distress cost) = GH€8000VL = GH$1,384,615 + GH€35,000 - GH€8000 = GH$1,394,115.53
iii. The value of the levered firm after considering the bankruptcy cost is:VL (After considering bankruptcy cost) = VL - PV (Bankruptcy cost)PV (Bankruptcy cost) = GH€8000VL (After considering bankruptcy cost) = GH$1,394,115.53 - GH€8000 = GH$1,320,091.19Question 12:
a. The calculation of the cost of equity capital, unlevered cost of equity capital and cost of equity at different debt-equity ratios is shown below:
Ke = Kd (1 - T) + (1 - D/E) × Ku= 11% × (1 - 0.35) + 0.4 × 16% = 12.45%Ku = 16% when D/E = 0.0Kd = 7%Ke (D/E = 2) = 0.7 + (2.0) (0.16 - 0.07) = 23%Ke (D/E = 1) = 0.7 + (1.0) (0.16 - 0.07) = 16.90%Ke (D/E = 0) = 16%
b. The calculation of Shadow's cost of equity, cost of equity at different debt-equity ratios and WACC is shown below:
Ke = 11% + 0.65 (8% - 11%) = 9.45%Ke (25% Debt) = 0.89 + (0.11) (0.25/0.75) = 9.89%Ke (50% Debt) = 0.89 + (0.11) (0.50/0.50) = 10.45%WACC (Part b) = 0.11WACC (Part c) = (0.75) (0.11) + (0.25) (0.08) (1 - 0.35) = 9.625%
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an employee can be dismissed if their job surplus to requirements' outline why this state ment is false
Cain Company reports net cash provided by operating activities of $35,000. It also reports the following information under “Adjustments to reconcile net income to net cash provided by operating activities” on its statement of cash flows (using the indirect method).
It can be seen from the solutions given that Cain's net income is $24,000.
Here is the solution:Net income = Net cash provided by operating activities - Adjustments
= $35,000 - $6,000 - $10,000 + $4,000 + $7,000 + $4,000
= $24,000
Therefore, Cain's net income is $24,000.
Here is a breakdown of the adjustments:
To determine cash flow from operations, it is necessary to include the gain on equipment sales in the net income as it is a non-cash entry.
A rise in accounts receivable implies that customers are prolonging payment of their invoices, resulting in decreased cash flow from the company's activities.
The depreciation expense is classified as a non-cash expense, hence it must be included in the calculation of cash from operations by adding it back to the net income.
A decrease in inventory indicates that the company is experiencing faster turnover of its inventory, leading to increased cash flow generated by its operations.
A rise in prepaid expenses denotes that the company is channeling more funds towards prepaid expenditures like insurance and rent, implying a reduced cash inflow from its operational activities.
A decline in the amount of wages that the company owes indicates that it is not promptly compensating its workforce. Consequently, this implies that the company's operational cash flow is reduced.
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In ________, one firm provides the product or service in a particular industry, which results in less price competition.
Monopolies are said to exist when one company provides the product or carrier in a particular industry, and as such effects in much less rate competition.
What is monopoly oligopoly and monopolistic competition?An oligopoly will allow extra than one honcho to co-exist, and a monopolistic competition will enable several players to enter into the market, while a monopoly will essentially be the one that stands apart and guidelines the complete demand and provide chain in the unique discipline of selection.
What is the that means of monopolistic market?A monopolistic market is a theoretical circumstance that describes a market where only one employer may offer products and services to the public. A monopolistic market is the opposite of a perfectly competitive market, in which an infinite quantity of firms operate
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https://brainly.com/question/7217942#SPJ41) (10 pts). If you invest \( \$ 1,000 \) in an account that pays \( 2 \% \) every 6 months, approximately how many years will it take to have \( \$ 2,000 \) ? 2) (10 pts.) If you gave a bank \( \$ 12
It will take approximately 14 years for an initial investment of $1,000 in an account that pays 2% every 6 months to grow to $2,000.
To calculate this, we can use the formula for compound interest:
\(A = P(1 + r/n)^{(nt)\)
where A is the ending amount, P is the principal, r is the annual interest rate, n is the number of times the interest is compounded per year, and t is the time in years.
In this case, we have an annual interest rate of 4% (2% every 6 months), compounded semi-annually (n = 2). We want to find the time it takes to double the initial investment, so we set A/P = 2 and solve for t:
\(1(1 + 0.04/2)^{(2t)\)
\(2 = (1.02)^{(2t)\)
log(2) = 2t log(1.02)
t = log(2)/(2 log(1.02))
Using a calculator, we get t ≈ 13.86 years. Therefore, it will take approximately 14 years.
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true or false? agency professionals must contact amazon to request access to their client's seller central account.
The given statement "agency professionals must contact amazon to request access to their client's seller central account." is true because Amazon has a specific process for granting access to a client's seller central account and the account owner must authorize access to the agency professional.
In order to gain access to a client's seller central account on Amazon, agency professionals must contact Amazon and request access. Amazon has a specific process in place for this, and the account owner must authorize access to the agency professional. Unauthorized access to an Amazon seller central account can result in account suspension or other penalties.
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list the two things the government does that fall under fiscal policy. (A.p.e.x.)
Explanation:
These two policies are combined in numerous ways to influence a country's economic situation.
Fiscal policy, together with monetary policy handled by central banks, is the primary means through which governments influence a country's economy. The two primary elements of fiscal policy are income taxes and government expenditures.
FILL IN THE BLANK. with regard to quality management systems, is a formal document that demonstrates a commitment to achieving high quality and meeting customer expectations.
Total quality control is a comprehensive collection of methods used to reduce mistakes across a company.
What is Total Quality Control?Total quality control is a broad range of methods used to reduce errors across an organization. An firm can significantly increase both its profitability and customer satisfaction by doing this. Employees from all departments who have the authority to make changes must participate. This strategy incorporates several ideas, such as:What counts is how the customer feels about the quality.Process enhancements are the primary focus of error reduction.There is no end to the overall quality control effort because processes must be continually improved.The objective of quality improvement must be closely integrated with ongoing feedback loops and motivational techniques.To Learn more About Total quality control refer to:
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you are currently involved in controlling procurements on a mission critical project for your organization. a seller has been contracted to provide a high load winch system. the winch that was to be supplied was rated at 1,000 pounds, but it is currently unavailable and will be replaced with the 1,200-pound model. this will result in a change to the contact. which action will best resolve this change? answers a. initiating claims administration b. performing inspections and audits c. implementing an integrated change control system d. using the contract change control system
Using the contract change control system will best resolve controlling procurements on a mission critical project for your organization.
What is contract change control system?All modifications to the project management contract are gathered, tracked, and communicated using the contract change control system. Contracts typically include clauses that allow for revisions or the inclusion of new things.
What different types of change management exist?
The three types of guided change management are developmental, transitional, and transformative. Different types of change necessitate different strategies and approaches in order to raise engagement, reduce opposition, and promote acceptance.
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if a food server worker follows directions, how long does it take to wash his/her hands
Answer:
A food server worker should wash his/her hands for 20 sec or longer.
Hopefully this helped :)
to my surprise most people in here are a kpop fan so this question is for you guys.
if you got a chance to debute in your idols company and you are in a group but the company handed you to give your group a name . what would your groups name be?
if I was the one then I would debute in big hit . and mostly my groups name would be BTJ
which meand bangatang junior
well I made it up :) .
have a great day every one.
Answer:
Hi! I would choose BB or Big Blast. That was always my favourite username when playing games as a kid. :D
Answer:
I would also like to have debuted under BIghit company and I would like to name my band as BXA (Bangtan X Army) I made it up too :)
Have a great day! and thanks :)
If you invest 50 percent of your funds in a stock with beta=1.5, 30 percent in a stock with beta=0.9 and 20 percent in a stock with beta=0.3, your portfolio beta will be
Answer:
1.08
Explanation:
The computation of the portfolio beta is shown below:
Portfolio beta is
= Invested stock percentage × beta of the stock + Invested stock percentage × beta of the stock + Invested stock percentage × beta of the stock
= 0.50 × 1.50 + 0.30 × 0.90 + 0.20 × 0.30
= 1.08
We simply applied the above formula so that the portfolio beta could come and the same is to be considered
What is one method that helps control online fraud? O A. Deleting odd emails before reading B. Reporting odd emails to police • C. Reporting odd emails as spam • D. Signing into email in many locations
Answer: C. Reporting odd emails as spam
Explanation:
What term refers to the process of analyzing possible positive and negative effects of a particular regulation or project to help make decisions
The term that refers to the process of analyzing possible positive and negative effects of a particular regulation or project to help make decisions is "cost-benefit analysis."
Cost-benefit analysis is a systematic process that is used to determine the benefits of a certain project or policy as compared to its costs. This method allows policymakers to make informed decisions that can maximize the benefits that a policy or project can provide to society while minimizing its drawbacks.
Cost-benefit analysis involves identifying all of the potential positive and negative effects of a policy or project, evaluating their monetary value, and comparing them to the costs involved. By doing so, policymakers can determine whether a project is worth pursuing or not.
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On January 1, 2017, Alpha Company purchased a significant influence shares investment in the Bravo-Zulu Company for $250,000. This investment balance represents 25% of the equity of the Bravo-Zulu Company. During 2017, Bravo-Zulu Company reported Net Income of $25,000 on November 15, 2017 Bravo-Zulu Company paid cash dividends of $10,000 to its shareholders. Using this information, what are the FY 2017 balances in Alpha Company's account balances for: a. Investment in Bravo-Zulu b. Investment Income
Answer:
a) $253,750
b) $6,250
Explanation:
Alpha company purchased shares in Bravo-Zulu company for $250,000
This represents 25% of the equity of Bravo-Zulu company.
In 2017, Bravo-Zulu Company Net Income = $25,000 on November 15, 2017 Bravo-Zulu Company paid cash dividends of $10,000 to its shareholders.
The FY 2017 balances in Alpha Company's account balances are:
a) For investment in Bravo-Zulu
= $250,000 + net income - share in dividend.
= $250,000 + ($25,000 * 25%) - ($10,000 * 25%)
= $250,000 + $6,250 - $2,500
= $253,750
b) For investment income
= $25,000 * 25%
= $6,250
Job #4260 consisted of 1,000 units at a total cost of $200,000. The cost transferred to cost of goods sold for the sale of 600 of the units is ______.
The cost transferred to cost of goods sold for the sale of 600 of the units is 120,000. Frequently, market analysts use models with two sources of info: actual capital, with amount K and work, with amount L.
What is Total cost?In financial matters, total cost (TC) is the base dollar cost of creating some amount of result.
This is the total monetary cost of creation and is comprised of variable cost, which changes as indicated by the amount of a decent delivered and incorporates information sources like work and natural substances.
Work #4260 comprised of 1,000 units at a total cost of $200,000. The cost moved to cost of products sold for the offer of 600 of the units is
Total cost / units x sale of units
200,000 / 1,000 x 600
= 120,000
The negligible cost can likewise be determined by tracking down the subordinate of total cost or variable cost. Both of these subsidiaries work in light of the fact that the total cost incorporates variable cost and fixed cost, yet fixed cost is a consistent with a subsidiary of 0.
The total cost of delivering a particular degree of result is the cost of the multitude of variables of creation. Total cost in financial matters incorporates the total open door cost (benefits got from the following best other option) of each element of creation as a feature of its fixed or variable costs.
Therefore The extra total cost of one extra unit of creation is called minor cost.
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When you receive a loan, the money the lender gives you is called the
Answer:
The Principle
Explanation:
There are two main parts of a loan: The principal -- the money that you borrow. The interest -- this is like paying rent on the money you borrow.
Anna got a high-paying job as a lab technician upon graduation. She took
five years to graduate from a public university and did take out a lot of
loans. What kind of return on investment (ROI) does Anna demonstrate?
Can't determine ROI
Negative ROI
Positive ROI
ОО
Neutral ROI
Answer:
Positive ROI
Explanation:
A positive ROI or positive rate of return occurs when the benefits realized from a project are much more than the costs incurred. Positive implies that a net effect of a number greater than zero.
Anna did not incur a lot of debts while in college. It suggests she controlled her expenses well. Since Anna has a well-paying job, her income and the cost incurred in college compare favorable. Her benefits are more compared to the cost of education.
B- The return on investments (ROI) that Anna should demonstrate is a positive Return on Investment (ROI). This is due to the excess loans taken by Anna during her education before getting the job.
Anna needs to maintain a hefty savings and needs to pay her liabilities in the forms of loans first because she is under obligation of the lending authority to pay for her education loan along with interest accrued.
Anna will not end up saving for herself and her needs if she is unable to save the money after paying her dues towards her loan. She has to make sure a healthy return on investments made by her.Usually an education loan is an expensive loan with higher rates of interests charged by the bank due to shortage of jobs in the economy due to unemployment flair and hence avoiding the risk associated.If her interest rate of loan is around 8% she has to make sure her salary is saving her way more than this loan amount with interest which will be due periodically.Hence, option B is correct that Anna will have to maintain and demonstrate a positive return on investments followed by her high paying job.
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What kinds of goods tend to have inelastic supply?
The most common goods with inelastic demand are serviceability, tradition medicines, and tobacco products.
In general, musts and medical treatments tend to be inelastic, while luxury goods tend to be most elastic. One illustration of a good with inelastic force is housing. However, it's delicate and time consuming for businesses to make further homes or for landlords to find further parcels to rent, If casing prices increase.
Impeccably inelastic products would be commodity like air or water, and no bone can really circumscribe that at this point in time. The most common products that are inelastic would be food, tradition medicines, and tobacco products. Another product that could be considered close to impeccably inelastic would be gas.
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help me to answer thi Q! Thanks!
In the market for bottled water, fresh springs has a 30 percent share of the market, swiss springs has a 27 percent share, l'eau de france has a 13 percent share, and mountain water has a 10 percent share. the rest of the market consists of 20 firms with a 1 percent share of the market each. what is the value of the herfindahl-hirschman index
The value of the Herfindahl-Hirschman Index, calculated for the market for bottled water, is 2,298.
What is the Herfindahl–Hirschman Index?The Herfindahl–Hirschman Index, HHI, is a commonly accepted measure of market concentration and competitiveness.
The HHI is calculated by squaring the market share of each competing firm and then summing the resulting numbers.
Data and Calculations:Product Market Share Squared Market Share
Fresh springs 30% 900(30% x 30%)
Swiss springs 27% 729 (27% x 27%)
L'eau de France 13% 169 (13% x 13%)
Mountain water 10% 100 (10% x 10%)
Rest of market 20% 400 (20% x 20%)
Sum of squared market share = 2,298
Thus, the value of the Herfindahl-Hirschman Index is 2,298, reflecting a low market concentration.
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One option to generate a favorable ______ variance for net operating income is to increase the number of clients.
Answer:
activity
Explanation:
Find the percent of change and tell if it is an increase or decrease. Round to the nearest whole percent. A company bought books for $2 a piece but then sold them at $9 a piece. What was the percent of change?
The company bought the books for $2 a piece and sold them for $9 a piece.Percent of change is 350%.
To find the percent of change, we can use the following formula:
percent of change = ((new value - old value) / old value) x 100%
where the old value is the original price ($2) and the new value is the selling price ($9).
Using this formula, we get:
percent of change = ((9 - 2) / 2) x 100%
percent of change = 3.5 x 100%
percent of change = 350%
Since the result is greater than 100%, we can say that there was an increase of 350% in the selling price of the books.
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the firm's functions performed by contractors are said to be: group of answer choices insourced. sunk costs. variable costs. outsourced.None of these answers is correct.
The functions performed by contractors are said to be outsourced. Answer is d.
When a company hires contractors or vendors to perform certain functions, rather than using its own employees, it is said to be outsourcing those functions. This allows the company to access specialized skills and expertise without the need to hire and train new employees. The contractors are external to the company, so the work they perform is not considered to be insourced. The cost of using contractors may be variable depending on the level of activity or output, but it is generally considered to be a form of fixed or sunk cost.
Option d is answer.
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The functions performed by contractors are said to be outsourced. Answer is d.
When a company hires contractors or vendors to perform certain functions, rather than using its own employees, it is said to be outsourcing those functions. This allows the company to access specialized skills and expertise without the need to hire and train new employees. The contractors are external to the company, so the work they perform is not considered to be insourced. The cost of using contractors may be variable depending on the level of activity or output, but it is generally considered to be a form of fixed or sunk cost.
Option d is answer.
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An investment will pay you $400 per year for 25 years with the
first payment received 9 years from today. If you use a 8% rate to
evaluate investments, how much will you pay for the investment
today?
You should be willing to pay about $2,885.47 for the investment today given an 8% rate of return.To calculate the present value of this investment, we need to use the formula for the present value of an annuity and discount the cash flows back to today's value.
We have an annuity of $400 per year for 25 years, with the first payment received 9 years from today. We can think of this as two separate annuities: one starting in 9 years and one starting immediately.
Calculate the present value of the annuity: PV_A = PMT * (1 - (1 + r)^-n) / r,
where PMT = $400, r = 0.08, and n = 25 years.
PV_A = 400 * (1 - (1 + 0.08)^-25) / 0.08 = 400 * (1 - 0.146) / 0.08 ≈ $5,372.63
Discount the annuity's present value to today's value: PV_Today = PV_A / (1 + r)^t, where t = 9 years.
PV_Today = 5372.63 / (1 + 0.08)^9 ≈ $2,885.47
So, you should be willing to pay about $2,885.47 for the investment today given an 8% rate of return.
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pls help :(
If the team charges $10 per dream bag and sells all 100 bags how much revenue will they collect?
If the team sells all 100 bags how much profit will they make
(hint revenue - total cost = profit)
Answer:
Explanation:
If the team charges $10 per dream bag and sells all 100 bags, their revenue will be:
Revenue = Price per bag x Number of bags sold
Revenue = $10 x 100
Revenue = $1000
Therefore, if the team sells all 100 bags, they will collect $1000 in revenue.
To calculate the profit, we need to know the total cost of producing and selling the dream bags. Let's assume that the total cost is $600.
Profit = Revenue - Total Cost
Profit = $1000 - $600
Profit = $400
Therefore, if the team sells all 100 bags at a price of $10 per bag and has a total cost of $600, they will make a profit of $400.
Answer:
$1000 (Revenue)
$400 (Profit)
Explanation:
Given:
Price - $10
Quantity - 100 bags
Total revenue formula:
Total revenue = price * quantity
Substitute values:
Total revenue = 10 * 100
Calculate:
Total revenue = $1000
What were the economic consequences of apartheid in south africa?.
Answer
Apartheid education policies lead to low rates of investment in human capital of black workers. Consequently, the economy falls to a lower level of physical and human capital in equilibrium and hence to a lower real income per capita in the long-run equilibrium
Answer: answer is
A C D
Explanation:
did it