(a) Bundle X Y MUx MUy MRS A 10 0 100 0 - B 8 2 80 40 -2 C 6 4 60 60 -2 D 4 6 40 90 -2 E 2 8 20 100 -2 F 0 10 0 110 -2
(b) The slope of the indifference curve at each point gives the MRS of X for Y at that point. By comparing the MRS to the price ratio of the two goods, the optimal bundle can be determined. The MRS of X for Y is given by the following formula:MRS = MUx/MUyThe following table shows the MRS at each bundle point in (a).Bundle MRS (X,Y)A - B 1/2C 3/4D 4/5E 1F - For example, the MRS at bundle C is MUx/MUy = 60/80 = 3/4. This is the slope of the indifference curve at point C.
(c) To graph the indifference curve at each point, use the MRS from (b) as the slope of the line connecting that point to the origin. For example, to graph the indifference curve through point C, draw the line with slope 3/4 passing through point C and the origin. Repeat this for each bundle in (a) to graph the indifference curves. The resulting graph should look like this:(g) To find the equation for the indifference curve where U = 4, use the utility function:U = X^2YSetting U = 4 yields:4 = X^2YRearranging, we get:Y = 4/X^2
This is the equation for the indifference curve where U = 4. To graph it, plot the points that satisfy this equation. For example, when X = 1, Y = 4. When X = 2, Y = 1. When X = 4, Y = 1/4. Plotting these points and connecting them with a smooth curve yields the indifference curve where U = 4.(h) To add this indifference curve to the graph from part (f), plot the points on the curve found in (g) and connect them with a smooth curve. The resulting graph should look like this:
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WHICH OF THE FOLLOWING MEASURES DOES NOT INCLUDE A COMPONENT OF
RISK? A. SHARPE RATIO B. INFORMATION RATIO C. ALPHA
Among the following measures, the measure that does not include a component of risk is Alpha. Option c is correct.
The Alpha measure is a common risk-adjusted performance metric used to evaluate the active returns generated by portfolio managers. Alpha measures the difference between a portfolio's actual returns and its expected returns, given its level of risk (as measured by beta).The Sharpe ratio is another risk-adjusted performance measure that is widely used.
It measures the excess return of an investment relative to the risk-free rate, divided by the standard deviation of the investment's return. The Sharpe ratio is a measure of how well an investment compensates investors for the risk they take. The information ratio is another risk-adjusted performance measure that is used to evaluate investment performance.
It measures the excess return of an investment relative to a benchmark, divided by the tracking error of the investment. The information ratio is a measure of how well an investment manager is able to outperform their benchmark. Therefore, option c is correct.
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Which of the following activities are entrepreneurs involved in?
A. identifying opportunities
B. arranging the resources required to pursue these opportunities.
C. investing the resources to exploit opportunities.
D. all of the above.
Answer:D
Explanation:
A entrepreneur own their business so they have to do everything
Apples are selling for .15 cents per apple. The amount you buy is 823 apples, and you decide to sell those apples for .75 cents per apple. What is the total revenue for selling these apples?
Answer:
123.45 cents
Explanation:
Revenue = price per unit x quantity sold
0.15 x 823 = 123.45
describe the four product-mix dimensions.
The four product-mix dimensions are width, length, depth, and consistency.
The product width refers to the number of different product lines a company offers, such as a range of clothing, accessories, and footwear. The product length is the total number of items in a product line, indicating the variety within a specific line. For example, a clothing line might have shirts, pants, and jackets in various styles and colors.
Product depth pertains to the number of variations for each product within the line, such as offering different sizes, colors, or materials for a particular product. This allows customers to find the exact product that meets their preferences and needs. Lastly, product consistency refers to the degree of similarity between product lines in terms of usage, production, and distribution.
Consistency helps companies manage their brand image and streamline their operations, making it easier to maintain quality and customer expectations. By understanding these four product-mix dimensions, companies can better plan and manage their product offerings to meet customer needs and preferences.
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Chinese currency in the year 800 was _______ by a commodity such as gold, and currency in the modern United States is _______ by a commodity such as gold.
Chinese currency in the year 800 was commodity-backed paper, and currency in the modern United States is fiat currency. Below is an explanation of its value.
The status of the currencyIn 800, Chinese currency was a commodity-backed paper currency. This means that any paper currency could be exchanged for a commodity such as gold or silver. The modern United States uses fiat currency. This currency has no intrinsic value and cannot be exchanged for a commodity.
Therefore, the answers are commodity-backed paper currency and fiat currency.
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The value of the same total closing inventory of goods was calculated using the different methods. Values are listed below. The value of the opening inventory was exactly the same.
Actual Purchase Price $6,500 FIFO $6,600
Weighted Average $6,550 Latest Purchase Price $6,650
LIFO $6,450
Which of the closing inventories would provide the business with the highest cost of sales?
a.
LIFO
b.
FIFO
c.
Actual Purchase Price
d.
Weighted Average
e.
Latest Purchase Price
2 points
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To determine the closing inventory method that would provide the highest cost of sales, we need to consider the cost of sales formula, which is calculated as opening inventory plus purchases minus closing inventory. As the opening inventory and purchases are the same for all methods, the method with the lowest closing inventory will result in the highest cost of sales. The correct answer is option a. LIFO
Given the provided closing inventory values for different methods, the LIFO method has the lowest closing inventory of $6,450.
Therefore, the LIFO method will result in the highest cost of sales when using the cost of sales formula.
Hence, to achieve the highest cost of sales, a business can use the LIFO method for its inventory management, which assumes that the last items purchased are the first sold.
This approach can help businesses offset the impact of inflation by reflecting the current prices of inventory sold in their cost of sales.
Therefore, the correct answer is option a. LIFO
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the following financial statements and additional information are reported. ikiban incorporated comparative balance sheets at june 30 2021 2020 assets cash $ 102,700 $ 52,000 accounts receivable, net 77,000 59,000 inventory 71,800 98,500 prepaid expenses 5,200 7,000 total current assets 256,700 216,500 equipment 132,000 123,000 accumulated depreciation—equipment (31,000) (13,000) total assets $ 357,700 $ 326,500 liabilities and equity accounts payable $ 33,000 $ 42,000 wages payable 6,800 16,600 income taxes payable 4,200 5,400 total current liabilities 44,000 64,000 notes payable (long term) 38,000 68,000 total liabilities 82,000 132,000 equity common stock, $5 par value 236,000 168,000 retained earnings 39,700 26,500 total liabilities and equity $ 357,700 $ 326,500 ikiban incorporated income statement for year ended june 30, 2021 sales $ 718,000 cost of goods sold 419,000 gross profit 299,000 operating expenses (excluding depreciation) 75,000 depreciation expense 66,600 157,400 other gains (losses) gain on sale of equipment 2,800 income before taxes 160,200 income taxes expense 44,690 net income $ 115,510 additional information a $30,000 notes payable is retired at its $30,000 carrying (book) value in exchange for cash. the only changes affecting retained earnings are net income and cash dividends paid. new equipment is acquired for $65,600 cash. received cash for the sale of equipment that had cost $56,600, yielding a $2,800 gain. prepaid expenses and wages payable relate to operating expenses on the income statement. all purchases and sales of inventory are on credit. required: (1) prepare a statement of cash flows using the indirect method for the year ended june 30, 2021. (amounts to be deducted should be indicated with a minus sign.)
In order to calculate the ratio you must first calculate the cash flow generated or used from operating activities, as shown below.
Cash flows from operating activities
Profit $115,510
Adjustments for:
Depreciation Expense $66,600
Working capital changes:
(Increase) / Decrease in the trade and other receivables -18,000
(Increase) / Decrease in the inventories $26,700
(Increase) / Decrease in prepaid expenses $1,800
Increase / (Decrease) in trade payables $-9,000
Increase / (Decrease) in wages payable -9,800
Increase / (Decrease) in income tax payable -1,200
Cash generated / provided by operations $172,610
So then, divide cash generated / provided by operations by average total assets.
$172,610 is the cash generated
Average total assets = ($82,000 total assets June 2017 + $132,000 total assets June 2016) / 2
$172,610 / $107,000 = $1.61 cash flow on the given total assets ratio
Hence, for every $1 in total assets the company generates $1.61 of cash flow.
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Which of the following is likely to shift the supply curve right?
Answer:
A technological improvement that reduces costs of production will shift supply to the right, so that a greater quantity will be produced at any given price. Government policies can affect the cost of production and the supply curve through taxes, regulations, and subsidies.
What are five things that will shift a supply curve to the right?
changes in non-price factors that will cause an entire supply curve to shift (increasing or decreasing market supply); these include
1) the number of sellers in a market,
2) the level of technology used in a good's production,
3) the prices of inputs used to produce a good,
4) the amount of government regulation, ...
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Describe how a formal report is different from an informal report?
Answer:
Though the report may be several sections long, it is typically much shorter than a formal report. No contents page is included. Informal reports can even be formatted like a memo.
Explanation:
Answer: Informal reports are usually short, one to three pages, with no need for prefatory parts,are informational, include no or limited research,luse a direct approach an personal language. The formal report, however, is worded more objectively, focusing on the problem and the solution.
Explanation:
Should a business email contain a salutation?
Answer:
A business email is meant in a professional way. It can be sought out as multiple different approaches, one of them, in this case, can include a friendly and welcoming business approach, including a salutation. All in all, it is up to the writer, there is no fully correct answer. Hope this helps :)
in comparing the canceled checks on the bank statement with the entries in the accounting records, obrien company found that check number 4239 for mays rent was correctly written and drawn for 9855 but was erroneously entered in the accounting records as 9585 when preparing the may bank reconciliation the obrien company should
In the preparation of a bank reconciliation statement, the Obrien Company should make a deduction of $270 from the cash balance.
What is bank reconciliation?The rectification of errors in the bank accounts and entries is done via bank reconciliation. In the above case, bank reconciliation is required for rectification of entry errors in the following way,
There is no need for rectification in bank balance, as the deduction in the bank balance is error-free; Cash balance showed an erroneous entry of $9585, instead of $9855; The difference between the correct entry and erroneous entry of $(9855-9585)=$270 shall be made in the cash balance of the books.Hence, the significance of bank reconciliation to be done by the O'brien Company is given as above.
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ricky is jonah's boss. before he goes on vacation, ricky gives explicit instructions to jonah not to buy any more shipments of ink cartridges because the company has enough to last them through the year. while ricky is out of town, jonah discovers an amazingly cheap deal for inkjet cartridges, and places a large bulk order for the company because the deal was too good to pass up. what are ricky's options in this situation?
Ricky, Jonah's boss, instructed Jonah not to buy any more ink cartridges before going on vacation. However, Jonah disregarded the instructions and placed a bulk order due to an exceptionally cheap deal.
In this scenario, Ricky has several options to handle the situation with Jonah. Firstly, upon his return from vacation, Ricky can address the matter directly with Jonah, expressing his disappointment and emphasizing the importance of following instructions. Ricky may choose to have a one-on-one conversation with Jonah to understand his rationale for disregarding the instructions and to discuss the consequences of such actions. This approach allows Ricky to address the issue directly and assert his authority as Jonah's boss.
Alternatively, Ricky may decide to implement stricter control measures to prevent similar occurrences in the future. This could involve implementing tighter approval processes for purchases or requiring Jonah to seek permission for any purchases that exceed a certain threshold. By implementing these measures, Ricky aims to reinforce the importance of adhering to instructions and ensure that such deviations do not happen again.
Ultimately, the specific course of action that Ricky chooses will depend on various factors, such as the severity of the situation, Jonah's past performance, and the company's policies. However, it is crucial for Ricky to address the issue promptly and take appropriate measures to prevent similar incidents in the future while maintaining a productive working relationship with Jonah.
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Which investment below would be most appropriate for investors who need income?
A. International stocks
B. DOW Index Funf (DIA)
C. Disney and Exxom Moble stocks
D. Dividend Paying ETFs
E. A, B, D are correct
F. B,C,D are correct
G. All of them are correct
In the given investment options, investors who need income should select dividend-paying ETFs because these types of investments pay investors a steady income stream in the form of dividends. Investors receive dividends from the ETF’s underlying holdings.
Investors have a range of investment options to choose from, each with its advantages and disadvantages. As a result, deciding on the appropriate investment alternative is critical. Some people invest to save for retirement, while others invest to achieve a short-term financial goal, such as saving for a house down payment.
Investors who require an income stream, on the other hand, should consider investing in dividend-paying ETFs. These types of investments pay investors a steady income stream in the form of dividends. Investors receive dividends from the ETF’s underlying holdings.
The bulk of ETFs that pay dividends invest in blue-chip equities, which have a long history of increasing dividends over time.ETFs that pay dividends are typically less volatile than growth stocks since they are heavily weighted in the value area of the market. As a result, these ETFs may be appropriate for investors who desire income without assuming a significant amount of risk.
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The Commercial Paper market was developed to do which of the following (choose the best answer)
A. To help commercial banks make more loans to highly rated companies
B. To help highly rated companies borrow money to manage short term timing mismatches between the payment of expenses and the receipt of revenues
C. To provide insurance companies with a long term debt instrument to invest in to help manage their assets and liabilities
D. None of the above
The best answer is B. To help highly rated companies borrow money to manage short-term timing mismatches between the payment of expenses and the receipt of revenues.
The Commercial Paper (CP) market is a short-term debt market where highly rated companies can issue unsecured promissory notes to raise funds for their short-term financing needs. These promissory notes, known as commercial paper, typically have maturities ranging from a few days to a few months.
By issuing commercial paper, companies can quickly access funds to bridge any timing mismatches between their expenses (such as payroll, inventory purchases, or operating costs) and the receipt of revenues (such as customer payments or sales proceeds). This enables companies to effectively manage their working capital and maintain smooth cash flow operations.
Option A is incorrect because the Commercial Paper market is not specifically designed to help commercial banks make more loans to highly rated companies. While commercial banks may invest in commercial paper, they primarily act as investors in this market.
Option C is incorrect because the Commercial Paper market is not primarily intended to provide insurance companies with a long-term debt instrument to manage their assets and liabilities. Insurance companies typically focus on longer-term investments and utilize other financial instruments for managing their assets and liabilities.
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Ford and Mazda have decided to enter into a strategic alliance and have agreed upon an appropriate alliance structure. The companies have decided to host a conference for management and employees to better understand the purpose and objectives of the alliance and allow employees of both companies to build interpersonal relationships which will build trust and facilitate harmonious relations between the two firms. Which of the following describes this alliance management technique?
Group of answer choices
A. Building relational capital
B. Awareness of cultural sensitivity
C. Creating learning symmetry
D. Securing competitive position
E. Establishing a cost-sharing partnership
In the following question, among the given options, option (A). "Building relational capital" describes the alliance management technique in which Ford and Mazda enter into a strategic alliance and have agreed upon an appropriate alliance structure.
Relational capital is the value that is formed through the relationship that exists between an organization and its stakeholders. The relationship between stakeholders can be improved by organizing events that allow employees of both companies to build interpersonal relationships which will build trust and facilitate harmonious relations between the two firms. Hence, Building relational capital describes the alliance management technique. Therefore, option A is the correct answer.
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"An offer of IPO shares made to an officer of a publicly held company is considered to be spinning if the publicly held company is:"
Answer: an investment banking client of the broker-dealer
Explanation: An offer of Initial Public Offering (IPO) shares made to an officer of a publicly held company is considered to be spinning if the publicly held company is an investment banking client of the broker-dealer.
Spinning considered both illegal and unethical defines the act of offering preferred customers shares in an IPO by a brokerage firm or underwriter in order to keep or obtain their business, thus benefiting both parties as it gives the firms and underwriters an opportunity to keep the business favorable and also making huge gains, while the preferred customers profit by investing in hot IPO shares of stock. If detected, it could lead to heavy fines for these business and/customers.
logical fallacy Well, what form of government do you want, a government by liberal do-gooders ready to spend your hard-earned dollars or a government led by business minds that understand how to live within a tight budget and generate jobs that put people to work. Group of answer choices
Answer:
i don´t nou sorry
Explanation:
The rise of nationalism is evident through all the following except
Multiple Choice
A. Increased domestic lending.
the election of President Trump.
B.WTO protests.
C. Brexit referendum.
D.strong protests to immigration.
Answer:
A. Increased domestic lending.
Explanation:
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Baylor Company began its operations on March 31 of the current year. Projected manufacturing costs for the first three months of business are $156,800, $198,200, and $217,600, respectively, for April, May, and June. Depreciation, insurance, and property taxes represent $28,800 of the estimated monthly manufacturing costs. Insurance was paid on March 31, and property taxes will be paid in November. Three-fourths of the remainder of the manufacturing costs are expected to be paid in the month in which they are incurred, with the balance to be paid in the following month. The cash payments for manufacturing in the month of June are:___________.a. $212,750b. $183,200c. $183,950d. $217,600
Answer:
c. $183,950
Explanation:
The calculation of cash payments for manufacturing in the month of June is shown below:-
Cash payment = 3 ÷ 4 × June Manufacturing Costs + 1 ÷ 4th × May Manufacturing Costs
= ($217,600 - $28,800) × 3 ÷ 4 + ($198,200 - $28,800) × 1 ÷ 4
= $188,800 × 0.75 + $169,400 × 0.25
= $141,600 + $42,350
= $183,950
So, we have applied the above formula.
which of the following is an important number to remember when seeking employment
social security number
Answer: social security number is correct
Explanation:
5-3. what are the major sources of funds for capital project and debt service funds, and how are the sources classified in the statement of revenues, expenditures, and changes in fund balance?
The major sources of funds for capital project and debt service funds are taxes, grants, and contributions. These sources are classified in the statement of revenues, expenditures, and changes in fund balance as revenues.
Capital project funds are used for the acquisition or construction of major capital facilities, such as buildings, roads, and other infrastructure. Debt service funds are used for the payment of principal and interest on long-term debt.
Taxes are a major source of funds for both capital project and debt service funds. These can include property taxes, sales taxes, and other taxes that are levied by the government.
Grants are another major source of funds for capital project and debt service funds. These can include grants from the federal government, state governments, and other organizations.
Contributions are also a major source of funds for capital project and debt service funds. These can include donations from individuals, businesses, and other organizations.
In the statement of revenues, expenditures, and changes in fund balance, these sources of funds are classified as revenues. This means that they are recognized as income when they are received or when they become available to be used for the purposes of the fund.
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1. Beauty professionals are often held to higher image standards by clients because they view beauty
professionals as
a. lifestyle coaches
b. role models
c.
image experts
d. personal trainers
Explanation:
role models - they are what they see when they first walk in
what group currently writes the generally accepted accounting principles?
A. Internal Revenue Service.
B. Securities and Exchange Commission.
C. Financial Accounting Foundation.
D. Financial Accounting Standards Board.
The group that currently writes the generally accepted accounting principles is the Financial Accounting Standards Board (D).
The Financial Accounting Standards Board (FASB) is the primary authority responsible for developing and issuing generally accepted accounting principles (GAAP) in the United States. GAAP provides a framework of accounting standards and principles that companies must follow when preparing financial statements. FASB is an independent, private-sector organization that operates under the oversight of the Financial Accounting Foundation (FAF).
FASB's main role is to establish and improve accounting standards through a transparent and inclusive process. It sets standards for financial reporting that aim to provide relevant and reliable information to investors, creditors, and other users of financial statements. FASB develops its standards based on the needs of users, input from stakeholders, and careful analysis of economic and business factors.
The Securities and Exchange Commission (SEC) plays a significant role in the development and acceptance of GAAP as well. Although the SEC does not directly write the accounting principles, it has the authority to prescribe the accounting principles to be followed by publicly traded companies. The SEC looks to the FASB as the designated standard-setting body and generally accepts its standards.
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ECONOMICS CHAPTER 2 SECTION 3
explain the relationship between the terms in each of these pairs
A. Private property rights and market
B. laissez-faire and capitalism
C. Specialization and profit
D. Factor market and product market
ECONOMICS CHAPTER 2 SECTION 3
Private property rights and market is in which people buy and sell resources or goods and services.
Private property rights are the rights of individuals and groups to own property and the market is any place or situation in which people buy and sell resources and goods and services.
Laissez-faire and capitalism-The relation-ship between laissez-faire and capitalism is laissez-faire is an economic philosophy of free-market capitalism that opposes government intervention.
Specialization and profit- The relation-ship between specialization and profit is the companies specialize in making one product or one component of a product, if this product will make at large scale, companies reduces it's cost to earn profit.
Factor market and product market- The relation-ship between Factor market and product market is the factor market is running by the demand of product market. The product market is sold their goods and services with the demand of factor market to production these goods and services.
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Explain the various segments of the NSE
Answer:
NSE provides trading in the following two segments (i) Whole Sale Debt Market Segment This segment provides a trading platform for a wide range of fixed income securities that include central government securities, treasury bills, state development loans, bonds issued by public sector undertakings, floating rate bonds, ...
give four reason as to why being an entrepreneur is beneficial than a doing a job
Answer:
Hope this helps!
4 reasons:
Explanation:
1) Being an entrepreneur is beneficial because it helps you get to know yourself better. You get to be your own boss.
2) Entrepreneurs get to make their own schedule. You can work for flexible hours.
3) You get to be more independent. Taking entrepreneurship will grant you freedom.
4) Choosing to be an entrepreneur is a big risk. This means your taking a challenge in your life. You'll make yourself stronger!
The best part though? It is a big satisfaction when you succeed, yeah and you'll definitely be proud of yourself.
In companies using a fixed-order quantity model, a consistent inventory level is used as a trigger to order more product. This inventory level is called the
Answer:
Reorder point
Explanation:
A company or organization making use of fixed-order quantity model which is a model where the REORDER POINT has been fixed and has already been set automatic in which once it reach the minimum inventory level it will remind the company that inventory level has reach the limit for the company to restore the stock inventory or order more product, which is why this inventory level is called the REORDER POINT.
Therefore REORDER POINT can be defined as the point which serve as a reminder that the stock inventory level has dropped to the minimum reorder level and need to be replaced or reorder.
A 30-year, $245,000 mortgage has a rate of 5.35 percent. a. What are the interest and principal portions in the first payment? (Do not round intermediate calculations. Round your answers to 2 decimal places.) b. What are the interest and principal portions in the second payment? (Do not round intermediate calculations. Round your answers to 2 decimal places.)
The interest portion in the second payment is $1,087.24 and the principal portion is $271.64.
a. To calculate the interest and principal portions in the first payment, we need to use the amortization formula. The monthly interest rate is 5.35%/12 = 0.00445833.
Interest portion in the first payment = Monthly interest rate x Remaining principal balance = 0.00445833 x $245,000 = $1,091.86
Principal portion in the first payment = Total monthly payment - Interest portion = $1,358.88 - $1,091.86 = $267.02
Therefore, the interest portion in the first payment is $1,091.86 and the principal portion is $267.02.
b. To calculate the interest and principal portions in the second payment, we need to use the same formula but with a reduced principal balance. The principal balance after the first payment is $245,000 - $267.02 = $244,732.98.
Interest portion in the second payment = Monthly interest rate x Remaining principal balance = 0.00445833 x $244,732.98 = $1,087.24
Principal portion in the second payment = Total monthly payment - Interest portion = $1,358.88 - $1,087.24 = $271.64
Therefore, the interest portion in the second payment is $1,087.24 and the principal portion is $271.64.
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how has technology changed communication over the past decade?
Answer:
Explanation:
Advancements in technology and changes in communication generally go hand in hand. Landlines displaced the telegraph and cell phones replaced landlines. The arrival of the internet opened new doors of personal communication. E-mails replaced postal mails and social media took the place of text messages
What do fulfillment centers do
Answer:
Fulfillment centers handle the logistics required to get an order to a customer's doorstep, eliminating the need for you to package, address, and ship each order yourself.
Explanation:
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