Fabulous Fern will report $24,250 in sales revenue from this sale.
Calculate the sales revenue of above example.The following is the net amount that Fabulous Fern will receive from the sale: Gross Sales - Sales Discount = Net Sales
where Gross Sales = Inventory Selling Price and Sales Discount = Allowable Discount
Given the terms (3/10, n/30), this means that if the buyer pays within 10 days, they will receive a 3% discount. The entire amount is due within 30 days.
As a result, if the buyer takes advantage of the discount and pays within 10 days, they will only be required to pay 97% of the selling price, which is:
97% x $25,000 = $24,250
If the buyer does not take advantage of the discount and pays within 30 days, they will be charged the full $25,000 selling price.
We can assume the worst-case scenario and calculate net sales based on the full selling price because we don't know when the buyer will pay:
Gross Sales - Sales Discount = Net Sales
Net Sales = $25,000 - ($25,000 multiplied by 3%).
$25,000 - $750 = Net Sales
Total Revenue = $24,250
As a result, Fabulous Fern will report $24,250 in sales revenue from this sale.
To Know more about Sales Revenue Visit:
brainly.com/question/28504810
#SPJ1
HELP PLEASE, THIS IS TIMED!!!!!!
Explanation:
I think the answer it's c
There is a dollar sale on neckties. You buy 10. Estimate your consumer surplus if you would have been willing to pay $10 for the first tie, $9 for second, $8 for the third, and so forth.
A reasonable estimate of your consumer surplus from the ten ties is
Answer: 45
Explanation: I just answered it and got it correct
10+9+8+7+6+5+4+3+2+1= 55
Subtract 10 = 45 Total
10 is the $1 dollar difference times the ten items
Answer:45
Explanation:
explain the process that economists use to conduct a Cost-Benefit Analysis (CBA) for a high-speed rail
Answer:
A cost-benefit analysis is a systematic process that businesses use to analyze which decisions to make and which to forgo. The cost-benefit analyst sums the potential rewards expected from a situation or action and then subtracts the total costs associated with taking that action. Some consultants or analysts also build models to assign a dollar value on intangible items, such as the benefits and costs associated with living in a certain town.
KEY TAKEAWAYS
A cost-benefit analysis (CBA) is the process used to measure the benefits of a decision or taking action minus the costs associated with taking that action.
A CBA involves measurable financial metrics such as revenue earned or costs saved as a result of the decision to pursue a project.
A CBA can also include intangible benefits and costs or effects from a decision such as employees morale and customer satisfaction.
Cost-Benefit Analysis (CBA)
Understanding Cost-Benefit Analysis (CBA)
Before building a new plant or taking on a new project, prudent managers conduct a cost-benefit analysis to evaluate all the potential costs and revenues that a company might generate from the project. The outcome of the analysis will determine whether the project is financially feasible or if the company should pursue another project.
In many models, a cost-benefit analysis will also factor the opportunity cost into the decision-making process. Opportunity costs are alternative benefits that could have been realized when choosing one alternative over another. In other words, the opportunity cost is the forgone or missed opportunity as a result of a choice or decision. Factoring in opportunity costs allows project managers to weigh the benefits from alternative courses of action and not merely the current path or choice being considered in the cost-benefit analysis.
By considering all options and the potential missed opportunities, the cost-benefit analysis is more thorough and allows for better decision-making.
The Cost-Benefit Analysis Process
A cost-benefit analysis should begin with compiling a comprehensive list of all the costs and benefits associated with the project or decision.
The costs involved in a CBA might include the following:
Direct costs would be direct labor involved in manufacturing, inventory, raw materials, manufacturing expenses.
Indirect costs might include electricity, overhead costs from management, rent, utilities.
Intangible costs of a decision, such as the impact on customers, employees, or delivery times.
Opportunity costs such as alternative investments, or buying a plant versus building one.
Cost of potential risks such as regulatory risks, competition, and environmental impacts.
Benefits might include the following:
Higher revenue and sales from increased production or new product.
Intangible benefits, such as improved employee safety and morale, as well as customer satisfaction due to enhanced product offerings or faster delivery.
Competitive advantage or market share gained as a result of the decision.
An analyst or project manager should apply a monetary measurement to all of the items on the cost-benefit list, taking special care not to underestimate costs or overestimate benefits. A conservative approach with a conscious effort to avoid any subjective tendencies when calculating estimates is best suited when assigning a value to both costs and benefits for a cost-benefit analysis.
Finally, the results of the aggregate costs and benefits should be compared quantitatively to determine if the benefits outweigh the costs. If so, then the rational decision is to go forward with the project. If not, the business should review the project to see if it can make adjustments to either increase benefits or decrease costs to make the project viable. Otherwise, the company should likely avoid the project.
With cost-benefit analysis, there are a number of forecasts built into the process, and if any of the forecasts are inaccurate, the results may be called into question.
Limitations of the Cost-Benefit Analysis
For projects that involve small- to mid-level capital expenditures and are short to intermediate in terms of time to completion, an in-depth cost-benefit analysis may be sufficient enough to make a well-informed, rational decision. For very large projects with a long-term time horizon, a cost-benefit analysis might fail to account for important financial concerns such as inflation, interest rates, varying cash flows, and the present value of money.
When signing a lease for a retail space, it's important to make sure the lease has a _______ clause, which releases the tenant from the lease if sales don't reach an agreed-upon amount. A.tenancy B.bail-out C.co-tenancy D.bankruptcy
Answer:
Option B (bail-out) is the correct approach.
Explanation:
For something like a variable annuity, a clause states that even though the investment on either the annuity happens to fall underneath a specified amount, the insured person will make additional withdrawal effects through loss.It eliminates the owner from those in the contract unless the transactions do not exceed a sum negotiated upon.Some other available choices do not apply to the types of situations in question. So that the argument presented above should be appropriate.
Answer:
The answer is most definitely B.bail-out : )
Explanation:
Especially for retail space, be sure your lease includes a bail-out clause, which lets you out of the lease if your sales don’t reach an agreed-on amount, and a co-tenancy clause so you can break the lease if an anchor store closes or moves. If you have to do a lot of work to get the space ready for occupancy, consider negotiating a construction allowance—generally $10 to $25 per square foot—to help offset the costs.
The socially optimal quantity of pollution is:_________.
a. the amount of pollution society would choose if the marginal social cost of pollution were zero.
b. the amount of pollution society would choose if all costs and benefits were fully accounted for. zero.
c. the amount of pollution society would choose if the marginal social benefit of pollution were zero.
Based on standard practices, the socially optimal quantity of pollution is "the quantity whose marginal social cost equals the marginal social benefit."
What is the socially optimal quantity?The socially optimal quantity is the term used to describe output quantity that reveals equilibrium between the costs and benefits of social conditions.
Therefore when the quantity of pollution whose marginal social cost equals the marginal social benefit occurs, this is a socially optimal quantity of pollution.
Hence, in this case, it is concluded that the correct answer is the quantity whose marginal social cost equals the marginal social benefit.
Learn more about socially optimal quantity here: https://brainly.com/question/25017732
Help me please, i’ll give brainliest and 15 points!!!!
What is the biggest business in the world right now and why.
Answer:
Apple
Explanation:
It is worth the most money. It is worth 2 trillion dollars.
Answer:
anime
Explanation:
an anime? jus cu.z i luv anime
Business Analytics:
Discuss why is predictive analytics analysis the next logical step in any business analytics (BA) process?
Discuss why would one use logic-driven models to aid in developing data-driven models?
Predictive analytics is the next logical step in a business analytics process while logic-driven models can be used to help develop data-driven models by allowing the underlying logic to be identified, such as relationships between variables, cause-effect scenarios, and thresholds.
Predictive analytics is the next logical step in any business analytics process because it provides insight into potential future outcomes. By using historical data and statistical algorithms, predictive analytics can help businesses anticipate customer behavior, forecast demand, identify potential risks, and optimize decision making. This can result in increased profitability and competitive advantage for a business.
Logic-driven models are used to aid in developing data-driven models because they provide a framework for understanding the relationships between variables. By using logic-driven models, businesses can identify the key drivers of performance and develop data-driven models that accurately reflect the underlying dynamics of the business. This can help businesses make more informed decisions and improve their overall performance.
You can learn more about data driven model at
https://brainly.com/question/29832534
#SPJ11
Martin puts his weekly paycheck into his checking account. In which column should he write the value of his paycheck? A checking account has columns check number, debits, deposits, balance. Deposits Balance Debit Check number.
Answer:
A:depositsExplanation:
Martin puts his weekly paycheck into his checking account. In which column should he write the value of his paycheck be deposits
:D I hope this helps
In the deposit column, he should write the value of his paycheck. Thus, option A is the correct option.
What is a checking account?A checking account is a bank account where users have convenient access to withdraw and deposit funds. It is primarily used to conduct personal financial transactions and pay bills. Check deposits and debit card purchases are both possible with a checking account. A checking account's main function is to store your money in a safe location for a brief period of time, making it accessible when you need it to cover bills and other costs.
You may direct deposit your paycheck into your bank account and then transfer some of your take-home pay to a savings or investment account where it can compound over time. Use of checking accounts for long-term objectives, such as saving for a home, is not advised since you earn a low-interest rate, averaging about.
Learn more about checking accounts here:
https://brainly.com/question/20984186
#SPJ7
investors expect the market rate of return this year to be 15.00%. the expected rate of return on a stock with a beta of 1.3 is currently 19.50%. if the market return this year turns out to be 12.80%, how would you revise your expectation of the rate of return on the stock?
The expected rate of return on the stock would be revised downward to 12.64%.
The expected rate of return on the stock is calculated using the Capital Asset Pricing Model (CAPM), which states that the expected return on a stock is equal to the risk-free rate plus the stock's beta multiplied by the market risk premium.
The market risk premium is the difference between the expected market return and the risk-free rate.
Since the market return this year turned out to be 12.8%, the market risk premium is 2.7% (19.5%-15%).
If we use these figures in the CAPM formula, the expected return on the stock would be:
Risk-free rate + (beta * market risk premium) = 0.05 + (1.3 * 0.027) = 0.126 or 12.6%.
Therefore, the expected rate of return on the stock would be revised downward to 12.64%.
For more questions like Rate of return click the link below:
https://brainly.com/question/17038366
#SPJ4
What is a cover letter?
Answer:
A clover letter is a letter that you usually turn in with your resume and it usually has more detailed information about your skills and why you're good for the job.
Explanation:
Answer:
A clover letter is a letter that you usually turn in with your resume and it usually has more detailed information about your skills and why you're good for the job.
Explanation:
How open market operations work?
To raise or lower interest rates, the Federal Reserve uses open market operations to buy or sell securities.
What is an open market operations?The purchase and sale of government securities in the open market is known as an Open Market Operation (OMO), hence the name. It is carried out by the central bank of a country (the RBI in India). To inject liquidity into the monetary system, the central bank will purchase government securities on the open market.OMOs are managed by the Trading Desk at the Federal Reserve Bank of New York. The Federal Reserve can only buy and sell a certain number of securities. OMOs are authorized under Section 14 of the Federal Reserve Act.Under inflation targeting, open market operations in the debt markets target a specific short-term interest rate.To learn more about open market refer to :
https://brainly.com/question/14256204
#SPJ4
What is the main source of income of a bank Class 10?.
The gap between the interest rates charged to borrowers and the interest rates paid to depositors is the main source of income for banks.
For most commercial banks, interest income is their main source of income. It is accomplished by taking money from depositors who don't need it right away. Depositors receive a certain interest rate and financial security in return for their deposits. The bank can now lend the deposited money to clients who require quick cash. Lenders are required to pay depositors a higher interest rate on the money they borrow. Due to the difference in interest rates between the interest it pays and the interest it receives, the bank makes a profit on its investment.
To read more about commercial banks visit:
https://brainly.com/question/29509855
#SPJ4
What will you call an employee who prioritizes her own goals rather than the team’s goal?
A (an) ____ employee will prioritize her own goals rather than the team’s goals.
Answer: A Selfish person
Answer:
Selfish.
Explanation:
A person that only thinks about themselves, and does not share.
A provision in the bond indenture that forces the corporation to make arrangements for bond repayment before the maturity date is called a(n) ____________ fund.
Based on the information given the bond repayment before the maturity date is called a(n) Sinking fund.
Sinking fund can be defined as the amount of money a company or organization saved so as to pay off their debt or loan amount before the repayment maturity date or period.
Sinking fund is important as it enables company to save for the amount they borrowed until future date.
With this companies can prepare or make arrangement for the debt repayment so as to easily payoff the amount loan to them.
Inconclusion bond repayment before the maturity date is called a(n) Sinking fund.
Learn more about sinking fund here:
https://brainly.com/question/15733954
East Company's shares are selling right now for $30. They expect that the dividend one year from now will be $1.60 and the required return is 15%. What is East Company's dividend growth rate assuming that the constant dividend growth model is appropriate?
a. 9.03%
b. 8.60%
c. 9.67%
d. 7.8%
e. 8.00%
C. 9.67% is East Company's dividend growth rate assuming that the constant dividend growth model is appropriate
The constant dividend growth model, also known as the Gordon growth model, is used to calculate the dividend growth rate of a company. According to this model:
\(Dividend Growth Rate = (Dividend / Current Stock Price) - Rate of Return\)
In this case, the dividend expected one year from now is $1.60, the current stock price is $30, and the required return is 15%. Plugging in these values:
Dividend Growth Rate = \(($1.60 / $30) - 0.15\)
Calculating this equation, we find that the dividend growth rate is approximately 0.0533 or 5.33%.
However, the options provided are in percentage format, so we need to convert the dividend growth rate to a percentage:
Dividend Growth Rate = \(5.33\% * 100 = 9.67\%\)
Therefore, the dividend growth rate of East Company, assuming the constant dividend growth model is appropriate, is approximately 9.67%.
Learn more about the constant dividend growth model from the given link:
https://brainly.com/question/29347902
#SPJ11
the jewelry buyer took a markdown on bracelets from $24.00 to $17.99. what is the markdown to the customer and the markdown journalized by the retailer?
The markdown to customer is 25% and markdown journalized by the retailer is 33.4%.
What is markdown?In the world of finance, a markdown is the difference between a dealer's lower price for a security and the highest current bid price among dealers in the market. Sometimes dealers would cut prices to encourage trade with the intention of making up the losses with higher commissions. In the world of finance, bid prices refer to what purchasers are willing to provide. Ask prices represent the sums that vendors are prepared to take. The bid-ask spread is the difference between the highest price being offered and the lowest price being asked. Trading in a specific security amongst market makers is referred to as the "inside market." The prices and spreads on the inner market are typically lower than those on the market for regular investors.
Markdown=1-(17.99/24) *100=25%
To learn more about markdown, visit:
https://brainly.com/question/18761936
#SPJ4
why is the official measure of the unemployment rate not necessarily an accurate depiction of a country's joblessness?
Since it doesn't count people who aren't working or those who aren't seeking for work, the official unemployment rate is frequently criticized for underestimating the true amount of unemployment.
What is the US's official unemployment rate at the moment?You may find further details in the notes just at beginning of page 4. Both the unemployment rate and the overall number of unemployed persons, which were both 5.7 million in January, did not move significantly. The unemployment rate hasn't changed significantly overall since the beginning of 2022.
In 2022, what will be the unemployment rate?Uttar Pradesh's unemployment rate for the previous month was 4.22%. Even though the unemployment rate in Uttar Pradesh has been fluctuating a lot lately, it tended to rise from February 2022 to January 2023, when it reached 4.22% last month.
To know more about unemployment rate visit:
https://brainly.com/question/14745467
#SPJ4
Which one of the following is an opportunity cost?
answer choices
You stay out late and your parents ground you.
You run a red light and you get a ticket.
You choose to give up math to study for history.
In a softball game, you miss the ball and strike out.
The value of giving up the next best option is the correct response. It is defined as the price of forgoing the best alternative. It symbolizes the sacrifices that people are forced to make because of a lack of resources.
What does opportunity cost look like?The night before an exam, a student goes to the movies for three hours and spends $20. Time spent studying and money used for other purposes are the opportunity costs. Wheat is planted by a farmer; Planting a different crop or making a different use of the resources (land and farm equipment) is an example of the opportunity cost.
To learn more about opportunity costs here:
https://brainly.com/question/13036997
#SPJ4
Sam is getting his bachelor's degree. During some of his course work, he honed his research skills and learned to exhibit confidence while presenting to an audience. Which career has Sam most likely been preparing for?
Printing Technology
Telecommunications
Performing Arts
Journalism
Answer:
Journalism
Explanation:
Answer:
journalism
Explanation:
media consumption behavior and response to promotions, price sensitivity, and retail outlets patronized are factors that should be considered in the component of the environmental context of the problem.
Media consumption behavior and response to promotions, price sensitivity, and retail outlets patronized are factors that should be considered in the objectives component of the environmental context of the problem: False.
What is a marketing mix?A marketing mix simply refers to the choices about product attributes, promotion or communication strategy, place or distribution strategy, and pricing strategy that a business firm offer to its targeted markets.
The four (4) Ps of marketing mix.This ultimately implies that, a marketing mix is made up of the four (4) Ps and these include the following;
ProductsPricePlacePromotionsIn this context, we can reasonably infer and logically deduce that the component of the external factors of a marketing problem include the following:
Media consumption behavior.Response to promotions.Price sensitivity.Retail outlets.Read more on marketing mix here: brainly.com/question/859394
#SPJ1
Complete Question:
Media consumption behavior and response to promotions, price sensitivity, and retail outlets patronized are factors that should be considered in the objectives component of the environmental context of the problem. True or False?
An Australian company imports has a USD100mil payable due in one year (at time 1). The current exchange rate (At time 0) is USD0.85/AUD. The inflation rate in Australia is 4.5%, the inflation rate in the US is 6%. In one year (at time 1), the market exchange rate is USD 0.90/AUD. What is the real USD/AUD exchange rate as at time 1? Express your answer to four decimal places. Answer:
An Australian company import has a USD100 mil payable due in one year (at time 1). The current exchange rate (At time 0) is USD 0.8302/AUD. The inflation rate in Australia is 4.5%, and the inflation rate in the US is 6%. In one year (at time 1), the market exchange rate is USD 0.90/AUD.
The question asks for the real USD/AUD exchange rate at time 1. The company has to pay USD 100 million in one year (at time 1), and the current exchange rate (at time 0) is USD 0.85/AUD. The inflation rate in Australia is 4.5%, and the inflation rate in the US is 6%.
One year later (at time 1), the market exchange rate is USD 0.90/AUD, and the actual exchange rate between the currencies would have changed due to inflation.
Real Exchange Rate (RER) = (Exchange rate × Domestic price)/Foreign price
For AUD, domestic prices = 1 + Inflation rate
AUD and foreign prices = 1 + Inflation rate USD
Real exchange rate for AUD at time 1\(=\frac { (0.90 \times (1+0.045))}{ (1+0.06) }\)
Real exchange rate for AUD at time 1= 0.8302 (approx).
Therefore, the real USD/AUD exchange rate at time 1 is 0.8302.
Learn more about the current exchange rate here:
https://brainly.com/question/30034961
#SPJ11
A disadvantage of using credit is impulse buying
True or False
Answer:
True
Explanation:
Impulse buying is making unplanned or non-budgeted purchases. In impulse purchases, buying decision is based on attraction rather than the need to have the item.
Making payment via a credit card is incurring a debt. One does not need to have money on their account for the payment to go through. It means one can spend money that they do not have on hand or at the bank. A credit card permits one to make payments for goods they had not planned to buy. It can encourage the buying of items that are not required.
how does increase demand for a product help lower its price to consumers?
Answer:
The four basic laws of supply and demand are: If demand increases and supply remains unchanged, then it leads to higher equilibrium price and higher quantity. If demand decreases and supply remains unchanged, then it leads to lower equilibrium price and lower quantity.
which of the following ad types are located within shopping results and promote individual products?a. Sponsored Productsb. Display adsc. Sponsored Brandsd. Sponsorships
The ad type that is located within shopping results and promotes individual products is the Sponsored Products. These ads are displayed within the search results on Amazon and promote a specific product with an image, title, and price.
Sponsored Products are shown based on relevant search terms, and advertisers can target specific keywords to increase visibility. Unlike Display ads and Sponsored Brands, Sponsored Products are not displayed on the Amazon homepage or on specific product detail pages.
Sponsorships, on the other hand, are a custom advertising solution for brands looking to drive brand awareness and increase visibility. Overall, Sponsored Products are an effective way for individual product listings to stand out and drive sales on Amazon.
To know more about Products refer to the link:
https://brainly.com/question/29423646#
#SPJ11
Aaron jefferies has located a condominium he would like to buy, and he would like the current owners to leave all window coverings in the condo. this condition should be included in the
Aaron Jefferies has found the condo he wants to buy, and he has a specific demand for the current owner to leave all the window coverings in the condo. This condition should be included in 2 documents: the purchase offer and the purchase contract.
What are the purchase offer and the purchase contract?The purchase offer is also known as the Purchase Agreement. This document contains a written proposal as an offer to purchase a property with certain conditions. In this document, the offer has not yet been agreed upon. Meanwhile, the purchase contract/agreement (in some cases also called a real estate contract) is an actual agreement between a seller and a buyer in which the offer has been agreed upon.
Learn more about a condominium property here brainly.com/question/1167654
#SPJ4
How has information technology impacted the economy?.
The information technology creates the major growth, better economic policy in the economy
The term Information technology simply said that IT is the creation, process, storage, security, and sharing of all types of electronic data using computers, collection, connectivity, and various physical devices, infrastructure, and procedures.
Here we need to find the impact created by information technology on economy.
Here we have listed down the impacts as follows:
This one has allowed economists to better predict how resources should be allocated.
And this will also assisted governments to make better economic policy decisions.
Finally it helps in the expanded growth and outlook in information technology careers.
To know more about Information technology here.
https://brainly.com/question/14426682
#SPJ4
please do it in one hour please urgently... I'll give you up thumb definitely Under your advice,A has decided to enter the market as a digital two-sided platform.You and your partners have also decided if you will be the first to operate in the market or not. The next issue to solve is selling the software you and your partners own and use the revenues to build the digital platform The software produces a revenue of 130,is proprietary which means only those with the license can use it, and it has unique capabilities with no substitutes in the market.It is copyrighted,so no one can duplicate it You have information about how much 8 potential buyers value the software You also consider it is sensible to assume the bidders are identically and independently distributed according to a uniform distribution, and that the valuations are private information. The information on the bidders' valuations is summarized in Table 1 below Table 1.Valuation of 8 bidders Bidder Valuation 1 100 2 140 3 60 4 130 5 160 6 50 7 80 8 145 3. You know the characteristics of the software make an auction a good way of selling the software,if the auction has the appropriate design.How would you explain to your partners that using an auction mechanism is a good option? In your explanation include the main characteristics of the auction design.
Using an auction is a good option because it ensures a fair and competitive process for selling the software. It allows potential buyers to reveal their true valuations, maximizing revenue.
Auction design characteristics include private valuations, uniform distribution, and the absence of substitutes, ensuring an efficient allocation of the software to the bidder with the highest value.
Using an auction mechanism is a good option because it promotes fairness and competition among potential buyers, ensuring that the software is sold at its highest possible value. In an auction, bidders reveal their private valuations, providing valuable information about their willingness to pay. This information allows for an efficient allocation of the software to the bidder who values it the most, maximizing revenue. Additionally, the assumption of a uniform distribution ensures equal opportunities for all bidders. Moreover, since the software has unique capabilities with no substitutes, an auction allows for a transparent and market-driven determination of its value. Overall, an auction design enables a competitive environment that optimizes revenue generation for the sale of the software.
Learn more about ensures here:
https://brainly.com/question/1040519
#SPJ11
Mei wants to include the history of her company in her business presentation. Which two o the following steps should she take? - keep the description brief
The following steps she should take are:
- keep the description brief
- relate the history to the audience's needs
Records is a look at change through the years, and it covers all aspects of human society. Political, social, financial, medical, technological, medical, cultural, intellectual, religious and navy tendencies are all part of history.
Reading history helps us understand how occasions inside the beyond made things the way they're nowadays. With training from the past, we not best learn about ourselves and the way we came to be, but also develop the ability to avoid errors and create better paths for our societies.
Learn more about history here https://brainly.com/question/603948
#SPJ4
1. A ________________________________________ in a subargument is either basic
or non-basic.
2. Arguments can also be explanations, but explanations can never be arguments.
(i) True (ii) False (iii) neither true nor false (iv) indeterminate
3. In an argument diagram, premises which together support a conclusion are linked
together by underlining them and writing the symbol
____________________________________ between each of them.
4. A set of sentences which describes some feature of the world can also function as an
argument
(i) True (ii) False (iii) neither true nor false (iv) indeterminate
The purpose of an Argument is to determine the degree of truth or acceptability of another statement, called a conclusion, using a statement or group of statements known as premises.
There are two goals to an argument: to alter people's viewpoints or persuade them to accept new viewpoints. convince people to do something new or specific.
1) In a sub-argument, a premise can be basic or not. A proposition is the foundation of an argument or the basis for a conclusion.
2) Contentions can likewise be clarifications, however clarifications can never be contentions, it is valid. The choice i is correct.
A rationale is an argument in which the justification provides evidence to back up a claim made in the conclusion. An explanation is a rationale in which the conclusion presents a cause for a particular fact.
3) In a contention chart, premises that together help an end are connected together by underlining them and composing the symbol arrow between every one of them.
4) It is true that an argument can also be a collection of sentences that describe some aspect of the world. It's a choice (i).
To know more about Arguments,
brainly.com/question/30238841
#SPJ4