FALSE,
Employees that are not performing well may not necessarily do better when they have a fixed set of coworkers compared to a continually changing group of employees. The performance of an employee is influenced by various factors, and the stability or variability of their coworkers is just one aspect.
While a fixed set of coworkers can provide a sense of familiarity and establish stronger working relationships, it does not guarantee improved performance for underperforming employees. The performance of an individual depends on their own skills, motivation, work environment, management support, and other factors.
Introducing a continually changing group of employees can bring fresh perspectives, diverse skills, and new ideas into the work environment. It can stimulate creativity and innovation, potentially leading to improved overall performance. Additionally, exposure to different team members can enhance adaptability, collaboration, and the development of a broader skill set.
Therefore, the impact of a fixed set of coworkers or a continually changing group on the performance of underperforming employees cannot be generalized. The key lies in addressing the underlying issues that contribute to poor performance and providing appropriate support, training, and resources to help employees improve their performance, regardless of the stability of their coworkers.
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What is form utility?
...help
Answer:
Utilities mean useful features, or something useful to the home such as electricity, gas, water, cable and telephone. Examples of utilities are brakes, gas caps and a steering wheel in a car. Examples of utilities are electricity and water.
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Answer:
Form utility refers to how well a product or service meets the customer's needs.
A large bakery buys flour in 25 kg bags. The bakery uses an average of' 4,860 bags a year. Preparing an order and receiving a shipment of flour bags involves a cost of $10 per order. Annual holding cost is $5 per flour bag. a) Determine the economic order quantity.
b) What is the average number of bags on hand (i.e., in inventory)?
c) How many orders per year will there be?
d)Calculate the total annual cost of ordering and holding flour.
e)If ordering costs were to increase by 50 percent order, by what percentage would the EOQ change?
a) Economic Order Quantity(EQO):Economic Order Quantity can be calculated using the following formula. \(EOQ = \sqrt{\frac{2DS}{H}}\)Where D = Annual Demand in Units S = Ordering Cost per Order H = Annual Holding Cost per UnitThen EOQ will be: \(EOQ
= \sqrt{\frac{2*4,860*10}{5}}\)= \(\sqrt{19,440}\) = \(139.28\) (approx.)The economic order quantity is 139 bags.b) Average Number of Bags on Hand:To find out the average number of bags on hand, we can use the following formula: \(Average\ number\ of\ bags\ on\ hand = \frac{EOQ}{2}\)= \(\frac{139}{2}\) = \(69.5\) (approx.)The average number of bags on hand is 69.5 bags.c)
Number of Orders per Year:We can find the number of orders per year by using the following formula: \(Number\ of\ Orders\ per\ Year = \frac{D}{EOQ}\)= \(\frac{4,860}{139}\) = \(34.89\) (approx.)So, there will be 34 orders per year.d) Total Annual Cost of Ordering and Holding Flour:Total Annual Cost of Ordering and Holding Flour can be calculated using the following formula:
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the concept that a business has a reasonable expectation of remaining in business for the foreseeable future is called the question 22 options: economic entity assumption. monetary unit assumption. periodicity assumption. going concern assumption.
The going concern principle is the belief that a company will continue to operate for some time to come.
What is company?
A company is a legal entity created by a group of people to conduct and manage a business enterprise, whether it be commercial or industrial. Depending on the corporate law of its jurisdiction, a company may be set up in a variety of ways for tax and financial liability reasons. The type of business structure a company chooses, such as a partnership, sole proprietorship, or corporation, will typically depend on the industry it operates in. The ownership structure of the business is also indicated by these structures. Additionally, they can tell private from public companies. Both have different ownership arrangements, laws, and rules regarding financial reporting.
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How much must you invest today at 8% interest in order to see your investment grow to $15000 in 10 years?
You would need to invest approximately $6,948.94 today at an 8% interest rate to see your investment grow to $15,000 in 10 years.
To determine how much you must invest today at an 8% interest rate in order to see your investment grow to $15,000 in 10 years, we can use the concept of present value.
The formula for calculating the present value (PV) of a future sum of money is:
PV = FV / (1 + r)ⁿ
Where:
PV = Present value (the amount you need to invest today)
FV = Future value (the desired amount of $15,000)
r = Interest rate (8% or 0.08)
n = Number of years (10)
Plugging in the values into the formula, we have:
PV = 15000 / (1.08)¹⁰
PV ≈ 15000 / 1.08¹⁰
PV ≈ 15000 / 2.158925
PV ≈ 6948.94
Therefore, you would need to invest approximately $6,948.94 today at an 8% interest rate to see your investment grow to $15,000 in 10 years.
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For the year ending December 31, 2021, Olivo Corporation had income from continuing operations before taxes of $1,300,000 before considering the following transactions and events. All of the items described below are before taxes and the amounts should be considered material. In November 2021, Olivo sold its PizzaPasta restaurant chain that qualified as a component of an entity. The company had adopted a plan to sell the chain in May 2021. The income from operations of the chain from January 1, 2021, through November was $170,000 and the loss on sale of the chain’s assets was $320,000. In 2021, Olivo sold one of its six factories for $1,400,000. At the time of the sale, the factory had a book value of $1,200,000. The factory was not considered a component of the entity. In 2019, Olivo’s accountant omitted the annual adjustment for patent amortization expense of $130,000. The error was not discovered until December 2021. Required: Prepare Olivo’s income statement, beginning with income from continuing operations before taxes, for the year ended December 31, 2021. Assume an income tax rate of 25%. Ignore EPS disclosures. (Amounts to be deducted should be indicated with a minus sign.)
Net income from continuing operations: $637,500. To prepare Olivo Corporation's income statement for the year ended December 31, 2021, we need to consider the given information and the required adjustments.
Income from continuing operations before taxes: $1,300,000
Sale of PizzaPasta restaurant chain:
- Income from operations: $170,000
- Loss on sale of assets: -$320,000
Sale of one factory:
- Sales proceeds: $1,400,000
- Book value of the factory: -$1,200,000
Omitted adjustment for patent amortization expense in 2019: $130,000
Now, let's calculate the income statement:
Income from continuing operations before taxes: $1,300,000
- Loss on sale of PizzaPasta chain: -$320,000
- Omitted adjustment for patent amortization expense: -$130,000
Adjusted income from continuing operations before taxes: $850,000 ($1,300,000 - $320,000 - $130,000)
Income tax expense (25% of adjusted income): $212,500 ($850,000 x 0.25)
Net income from continuing operations: $637,500 ($850,000 - $212,500)
Finally, the income statement for Olivo Corporation for the year ended December 31, 2021, is as follows:
Income from continuing operations before taxes: $850,000
Income tax expense: -$212,500
Net income from continuing operations: $637,500
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In 2019, McKenzie purchased qualifying equipment for his business that cost $212,000. The taxable income of the business for the year is $5,600 before consideration of any Section 179 deduction.
a. Calculate McKenzie’s Section 179 expense deduction for 2019 and any carryover to 2020.
b. How would your answer change if McKenzie decided to use additional first-year (bonus) depreciation on the equipment instead of using Section 179 expensing?
Answer:
A) The cost reduction for 2019 is $5,600. His accumulation to 2020 from Sec 179 is $206,400.
B) The allowance for spending is $0 for 2019. His accumulation to 2020 with Sec 179 is $0.0.
Explanation:
1) As per sections 179, a total of $212,000 is available for deduction, but the payment is related to taxable investment income as a restriction. Company revenue here is $5,600. Exemption is then decreased to $5,600 and holdover to nest year without $206,400 is the residual expense.
2) When we seek extra first-year expense, regardless of taxable business profits, we will claim the entire equipment costs as a deductible. So, Section 179 is going to be Zero and there's no reason to roll on to next term because in the first last year we were claiming maximum costs.
Which of these are considerations that go into pricing a company's product? (Select all that apply.)
Price of getting the product to the market
How much tax the consumer pays as an end user
Price of labor to make the product
Price of raw materials
Answer:
All EXCEPT How much tax the consumer pays as an end user
Explanation:
All the options except how much tax the consumer pays as an end user are considerations that go into pricing a company's product.
What is pricing?Pricing is the process by which a company determines the price at which it will sell its products and services. It may be part of the company's marketing strategy. When determining prices, the company will consider the cost of acquiring the goods, the manufacturing cost, the marketplace, competition, market condition, brand, and product quality.
Pricing is an important aspect of product management and one of the four Ps of the marketing mix, along with product, promotion, and place. Among the four Ps, price is the only one that generates revenue.
Therefore, price of getting the product to the market, price of labor to make the product, price of raw materials are the considerations that go into pricing a company's product.
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What health issue did Feiler face that led him to consider his family?
Companies with high operating leverages generally have lower fixed costs than variable costs. True False.
This given statement is FALSE. Operating leverage refers to the degree to which a company's fixed expenses make up its overall expense structure.
This ratio demonstrates the cost structure of a business and can help investors and analysts understand how changes in sales volume can affect profits. Companies that have a high degree of operating leverage, for example, will see a larger increase in earnings when sales volumes rise than companies with low operating leverage. The higher the operating leverage, the more dependent a company's earnings are on sales volume. Companies with high operating leverage have a higher fixed cost component of total costs.
Variable expenses are smaller in percentage of total expenses than fixed expenses in companies with high operating leverage. This is because as sales rise, fixed expenses stay constant, while variable expenses grow in proportion to sales. The opposite is true for businesses with low operating leverage, which have a lower fixed cost component of total expenses. Variable expenses, on the other hand, are more significant in percentage of total expenses than fixed expenses.
This is due to the fact that when sales increase, variable expenses grow in proportion to sales, while fixed expenses remain constant.
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Enterprises that provide goods or services to, or receive them from my training institution or organization
Answer:
Enterprise is another word for a for-profit business or company, but it is most often associated with entrepreneurial ventures. People who have entrepreneurial success are often referred to as “enterprising.” There are many forms of legal enterprises, with the most common in the U.S.
for a company making advanced technology, with highly specialized components, a customer divisional structure would be more effective than a modular structure.
Modular simply means something that has separate units, especially when each unit performs its own function and could be replaced by a similar unit for the same function. For a company making advanced technology, with highly specialized components, a customer divisional structure would be more effective than a modular structure is regarded as a false statement.
The Modular Structure Organizations put in several ways that show how the organization operates and performs.The structure carries along computer, automotive, appliances, and other companies making advanced technologies and using specialized components.
It is based on dividing the business into small, strong tied strategic business units, which is based on specific elements of the organizational process.
Conclusively, modularity is used often when dealing with technological and organizational systems and the modular organization is very flexible.
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marty is convinced that there are more ice cream cones sold in august than december, yet statistics tell us something different. for many, it is easier to imagine ice cream being sold in august than december. which heuristic may explain marty's error? representativeness functional fixedness availability base rates
The heuristic which resulted in marty's error is availability heuristic error.
Since memories that are readily recalled are typically insufficient for determining how probable events are to occur again in the future, the availability heuristic can result in poor decision-making. This ultimately leaves the decision-maker with poor information on which to base their choice. It is simply one of several cognitive biases that limit our ability to think critically and, as a result, the reliability of our conclusions.
You start buying more lottery tickets than you ought to each week. You can begin to think that you are in risk of losing your job if you keep seeing news reports about others losing their jobs.
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Who has the power to begin the process of raising taxes in the United States?
All Bills for raising Revenue shall originate in the House of Representatives; but the Senate may propose or concur with Amendments as on other Bills.
Who is in charge of tax increases?In accordance with Article I, Section 8, Clause 1, the Congress shall have the authority to impose and collect taxes, duties, imposts, and excises in order to pay off debts, fund the nation's general welfare, and provide for the common defense. However, all duties, imposts, and excises must be applied equally across the board.
Can a state impose a tax increase?According to the Commonwealth of Australia Constitution Act of 1900, both the federal government and state governments have the authority to levy taxes. The main limitations on the federal government's ability to do so are that its taxes cannot discriminate against particular states or regions of states, and it may only levy federal taxes on excise and customs duties.
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the main units of local government.
Answer:
There are four main types of local government- counties, municipalities (cities and town), special districts, and school districts. Counties are the largest units of local government, numbering about 8,000 nationwide. They provide many of the same services provided by cities.
Explanation:
In which market would a producer sell bicycles to consumers?
In the markets for goods and services, a producer would sell his bike for purchase by customers.
What is the market for goods and services?Consumers buy consumables on the products and services market, and firms sell their commodities there. The market encompasses physical stores, the Internet, and any other location where consumers can exchange products and services.
The trading of finished goods takes place here. Businesses receive payment from customers in exchange for goods. The consumer gives money to the business in a flow. In contrast to this, enterprises can buy the materials they need on the factor market to make an item.
The rule of supply and demand governs how much is produced and at what price in the market for products and services.
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What will budgeted net income equal if 21,000 units are produced and sold? (do not round intermediate calculations.)
The budgeted net income for 21,000 units is $55,500 (option C).
To calculate the budgeted net income for 21,000 units, we need to determine the variable cost per unit and use it to calculate the contribution margin. We'll then subtract the fixed costs to find the net income.
Variable cost per unit = Total variable costs / Number of units
Variable cost per unit = (Manufacturing costs + Selling and administrative costs) / 20,000 units
Variable cost per unit = ($70,000 + $40,000) / 20,000 units
Variable cost per unit = $110,000 / 20,000 units
Variable cost per unit = $5.50 per unit
Contribution margin per unit = Sales per unit - Variable cost per unit
Contribution margin per unit = $200,000 / 20,000 units - $5.50 per unit
Contribution margin per unit = $10 - $5.50
Contribution margin per unit = $4.50 per unit
Contribution margin for 21,000 units = Contribution margin per unit * 21,000 units
Contribution margin for 21,000 units = $4.50 per unit * 21,000 units
Contribution margin for 21,000 units = $94,500
Net income = Contribution margin - Fixed costs
Net income = $94,500 - ($22,000 + $17,000)
Net income = $94,500 - $39,000
Net income = $55,500
Therefore, the budgeted net income for 21,000 units is $55,500 (option C).
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Complete Question:
Units 20,000 Units
Sales $200, 000
Less variable costs:
Manufacturing costs: $70,000
Selling and administrative costs: $40,000
Contribution margin: $90,000
Less fixed costs:
Manufacturing costs: $22,000
Selling and administrative costs: $17,000
Net income: $51,000
What will budgeted net income equal if 21,000 units are produced and sold? (Do not round intermediate calculations.)
A. $94,500
B. $53,550
C. $55 500
D. $210,000
what is the second sector of wheat?
The second sector of wheat is the milling sector.
What is the role of the milling sector in the wheat industry?The milling sector plays an important role in the wheat industry by processing the harvested wheat into various products such as flour, semolina, and bran. This sector involves the grinding and refining of wheat grains to produce different grades of flour which are then used in a wide range of food products like bread, pasta and pastries.
The milling process involves several steps including cleaning the wheat, removing impurities, grinding the grains and separating the flour from the bran and germ. The milling sector ensures that the harvested wheat is transformed into valuable and versatile ingredients that form the basis of many staple foods.
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Why are file naming conventions essential?
A. So that data entry workers do not have to learn new systems with
every new position.
B. To make it easy to copy files for backup storage.
C. So that companies can easily share files with other companies.
D. Without everyone using the same system, it would be impossible
to know locate folders or files.
Answer:
D. Without everyone using the same system, it would be impossible
to know locate folders or files.
Explanation:
policy development for the integration of building information modeling into construction management education
Policy development is important for the integration of building information modeling (BIM) into construction management education. BIM is a digital representation of the physical and functional characteristics of a building. It allows for the collaboration and coordination of different stakeholders involved in the construction process.
1. Policy development ensures that BIM is integrated into the curriculum of construction management education programs. This means that students will be taught the principles and skills needed to effectively use BIM in their future careers. For example, courses can be designed to teach students how to create and analyze 3D models, extract data from BIM models, and use BIM software tools.2. Policy development also encourages the adoption of BIM in the construction industry. By incorporating BIM into the education system, future construction professionals will be well-prepared to use BIM on real-world projects. This can lead to increased efficiency, reduced errors, and improved collaboration among project teams.
3. Policies can also address the need for ongoing professional development in BIM. As technology advances, it's important for construction professionals to stay up-to-date with the latest BIM tools and practices. Policies can require continuing education or professional certifications in BIM to ensure that graduates are equipped with the necessary skills. 4. Another aspect of policy development is the establishment of partnerships between educational institutions and industry stakeholders. These partnerships can provide students with access to industry experts, internships, and job opportunities. By involving industry in the development and implementation of BIM curriculum, the education system can better align with the needs of the construction industry.
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What is being journalized in the Cash Receipts Journal?
In the Cash Receipts Journal, only cash receipts are journalized.
When a company maintains separate journals for its transactions, there is a Cash Receipts Journal for recording cash receipts. There are also Cash Payment, Sales (on Credit), Purchases, Adjusting, and General Journals.
Thus, the transactions that are recorded in the Cash Receipts Journal are only cash receipt entries.
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By law, an accountant must hold a CPA designation in order to
?
Answer:
The CPA designation isn't required to work in corporate accounting or for private companies. However, public accountants—which are individuals working for a firm, such as Deloitte or Ernst & Young, that provides accounting and tax-related services to businesses—must hold a CPA designation.
Explanation:
Answer:
Prepare audited or reviewed financial statements.
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The balance on a credit card, that charges a 20%
APR interest rate, over a 1 month period is given in
the following table:
Days 1-5: $200 (initial balance)
Days 6-20: $350 ($150 purchase)
Days 21-30: $150 ($200 payment)
What is the finance charge, on the average daily
balance, for this card over this 1 month period?
finance charge = $ [?]
Round to the nearest hundredth.
Enter
The balance on a credit card, that charges a 20% APR interest rate, the Finance charge is given as
$4.3055
This is further explained below.
What is the APR interest rate?Generally, The interest rate that is applied to a loan, mortgage loan, credit card, etc. is referred to as an annual percentage rate of charge, which sometimes corresponds to a nominal APR and sometimes corresponds to an effective APR.
The annual percentage rate of charge is the interest rate for the entire year, as opposed to just a monthly fee or rate. It is a fee for financing that is presented in the form of an annual rate.
Interest rate APR = 12%
Average balance = ((200*5)+(350*15)+(150*10))/30
Average balance = $258.33
Average balance*APR/12
Finance charge =\(\frac{258.33*20 \%}{12 }\)
Finance charge = $4.3055
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Why does the united states have limited to no trade with countries like cuba and venezuela?.
On September 4, 1961, partly in response, Congress handed the Foreign Assistance Act, a Cold War Act (among many different measures) that prohibited useful resource to Cuba and approved the President to impose a whole trade embargo towards Cuba.
What is the alternate relationship between the US and Cuba?U.S. diplomatic illustration in Cuba is handled with the aid of the United States Embassy in Havana, and there is a comparable Cuban Embassy in Washington, D.C. The United States, however, continues to preserve its commercial, economic, and economic embargo, making it unlawful for U.S. corporations to do enterprise with Cuba.
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Question 1 of 10
Define the word profit in business.
OA. Money left after costs are paid
B. Commercial activity
OC. Quality care
OD. Structure for wealth
SUBMIT
The word profit in business means the money left after costs are paid (option A).
What are the costs or business expenses?Costs or expenses in business include the costs that are considered necessary and ordinary as well. Business expenses include travel charges, bank fees, bank interests, payroll of the employees, fees, commissions, and office equipment.
The money that is left after paying the business expenses or the costs includes the profit. It is important to mention that businesses have to pay their business expenses and after deducting that money, the amount that is left with a business organization is the profit.
It can be concluded that the word profit in business means the money left after costs are paid (option A).
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During the great depression, in the face of consumer sales resistance and corporate budget cutting, the advertising industry needed to improve its effectiveness. this led the industry to shift its focus to
Marketing research is the correct answer.
What is Marketing research?
The systematic collection, recording, and analysis of qualitative and quantitative data regarding problems related to the marketing of goods and services are known as marketing research. The objective is to determine and evaluate how shifting aspects of the marketing mix affect consumer behaviour.
This entails defining the data needed to solve these concerns, devising the information-gathering strategy, and overseeing and putting the data collection process into practice. These outcomes and conclusions, together with their ramifications, are communicated to those with the authority to take action on them after data analysis.
We are all in uncharted seas as a result of the current coronavirus pandemic (COVID-19), but there are many lessons we can learn from the past about how to endure—and even thrive—under trying circumstances. Belt-tightening may seem normal in difficult economic times, but history provides an intriguing account of The Kellogg's Company's advertising campaign during the Great Depression, demonstrating that this is really a crucial time to invest in a wise, ethical marketing plan.
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A letter of resignation should be written and delivered to each of your coworkers when you leave a job. True or False?
Answer:
false
Explanation:
you only need a letter for your boss or supervisor.
Answer:
False
Explanation:
In my life, I’ve only ever needed to give one to my Boss and Supervisor.
Which one of the four factors of copyright is MOST important?
Answer:
the purpose and character of the use i think
Explanation:
FedEx Corp. stock ended the previous year at $126.19 per share. It paid a $2.00 per share dividend last year. It ended last year at $129.49.
If you owned 490 shares of FedEx, what was your dollar return and percent return? (Round your percent return answer to 2 decimal places.)
Your dollar return on the investment in FedEx Corp. was $2,032 and your percent return was 3.29%.
To calculate the dollar return on your investment in FedEx Corp., you need to first determine the total amount of dividends received and the change in the stock price over the year.
In this case, you owned 490 shares of FedEx, so you received a total of $980 in dividends ($2.00 per share x 490 shares). Additionally, the stock price increased from $126.19 to $129.49 per share, resulting in a capital gain of $3.30 per share. Therefore, the total dollar return on your investment is:
($3.30 per share x 490 shares) + $980 in dividends = $2,032
To calculate the percent return, you need to divide the dollar return by the initial investment and then multiply by 100 to express the result as a percentage.
Your initial investment in the 490 shares of FedEx was:
490 shares x $126.19 per share = $61,827.10
So, the percent return on your investment is:
($2,032 / $61,827.10) x 100 = 3.29%
Therefore, your dollar return on the investment in FedEx Corp. was $2,032 and your percent return was 3.29%.
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explain how the looting of shops will affect business in term of the relationship between social responsibility and triple bottom line
Social responsibility means an acceptable theory which is applies to everyone, expecting that the act of individual must benefit the whole of society.
Corporate Social Responsibility refers to practices and policies undertaken by firms and other business, who are intending to have a positive influence on the environment and world at large.
Triple bottom line is also a concept that state that in addition to the major objectives of firms which is to make profit, they should ensure they impact the society and environment as well.
The looting of shops and mall will take a toll on the moral effort of firms and businesses adhering to the triple bottom line concept as well as the corporate social responsibility as they have to count on the loss incurred, caused by the masses.
Despite that insurance provision and government can provide compensation for the looted goods, still, the morale of the firms authorities and business owners towards the social responsibility concept and triple bottom line concept will be negative
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The shops and malls are considered as safe place for citizens. Whenever there are any crisis in the state, these business activities are stopped for some time and these elective shopping activities are freeze to deal with crisis or natural disaster situation.
In such a situation few people who are robber by nature take advantage of such situation and then exploit the natural disaster. They get their own benefit from the disaster situation.
They know how to deal with crisis and they get benefit from their robbery and looting shops and malls. In this way businessmen looses great money and valuable things from their shops.
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He is sincere change into Negative plssss
He is not sincere.
This is the negative form of the sentence.