A social media workflow is a sequence of connected steps that enables the organization to act efficiently with minimal overlapping tasks and resources to implement the social media marketing plan effectively.
What is social media workflow?A social media workflow is a process for organizing the writing, posting, and marketing of your social media content. It comprises every process from ideation to analysis that goes into developing, preparing, posting, and promoting your content. It is managed by several members of the social media team.A social media workflow is a series of interconnected procedures that enables the business to act quickly with the least amount of duplication of effort and resources possible to effectively implement the social media marketing strategy.Essentially, a media asset management workflow is a description of all associated operations, including media generation, media preparation, and media dissemination.To learn more about social media workflow refer to:
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1. Describe how an apoptosis-inducing signal can transduce through intrinsic and extrinsic pathways to activate the initiator caspases. (10 marks)
Answer:
Explanation:
Apoptosis is an important biological process that regulates cell death and is essential for development, tissue homeostasis, and immune defense. Apoptosis-inducing signals can be transduced through intrinsic and extrinsic pathways to activate the initiator caspases.
The intrinsic pathway is initiated by cellular stress, such as DNA damage, hypoxia, or oxidative stress. These stress signals can activate the tumor suppressor p53, which in turn induces the expression of pro-apoptotic proteins such as Bax, Bak, and Puma. These proteins induce the release of cytochrome c from the mitochondria, which binds to Apaf-1 to form the apoptosome complex. The apoptosome complex recruits and activates initiator caspase-9, which then cleaves and activates the effector caspases-3, 6, and 7. This results in the cleavage of various cellular substrates, leading to the characteristic morphological and biochemical changes seen in apoptosis.
The extrinsic pathway, on the other hand, is initiated by extracellular signals such as cytokines, death ligands, or immune receptors. These signals bind to their respective receptors on the cell surface, which then activate caspase-8 through the recruitment of adaptor proteins such as FADD. Caspase-8 can also directly cleave and activate the effector caspases, leading to apoptosis. In some cases, the extrinsic pathway can also activate the intrinsic pathway through the cleavage of the pro-apoptotic protein Bid, which then translocates to the mitochondria and induces cytochrome c release.
In summary, apoptosis-inducing signals can transduce through both intrinsic and extrinsic pathways to ultimately activate the initiator caspases. These pathways intersect at various points and can crosstalk, leading to a coordinated and regulated cell death process.
his lesson starts on time (change into negative)
Answer:
His lesson started late
Explanation:
You plan to make a series of deposits in an interest-bearing account. You deposit $100 in one year, $200 in two years and $300 in three years. If you withdraw $50 in two years, and $100 in four years, how much will you have in five years?
Calculating the interest earned on each deposit and considering the withdrawals, we find that the total amount in the account after five years is $650.
To calculate the total amount in the account after five years, we need to consider the deposits and withdrawals made at different times.
In the first year, you deposit $100 into the account. This amount will earn interest for five years.
In the second year, you deposit $200 into the account. This amount will earn interest for four years.
In the third year, you deposit $300 into the account. This amount will earn interest for three years.
In the second year, you also withdraw $50 from the account. This withdrawal reduces the overall balance.
In the fourth year, you withdraw another $100 from the account.
After calculating the interest earned on each deposit and considering the withdrawals, we find that the total amount in the account after five years is $650.
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On 31 January 2017, you bought 200 shares of a company for $422.84 a share and on 31 January 2021 you sold them for $862.14 a share. In January 2021, you also received a cash dividend of $11.64 per share. Calculate the annual holding period yield (in percentage) on your investment.
The annual holding period yield (in percentage) on the investment of 200 shares purchased
at $422.84 a share and sold at $862.14 a share and a cash dividend of $11.24 per share is 14.27%.
Number of shares = 200
Cost per share = $422.84
Selling price per share = $862.14
Dividend per share = $11.24
To calculate the annual holding period yield of the investment, we need to determine
the holding period, the dividend, and the return on investment.
Holding period = (2021 - 2017) = 4 years
Dividend income = $11.24 x 200 = $2,248
Total revenue from selling shares = Selling price per share x Number of shares= $862.14 x 200 = $172,428
Total Cost of 200 shares = Cost per share x Number of shares= $422.84 x 200 = $84,568
Total Return on Investment = Dividend income + Total Revenue from Selling Shares - Total Cost of shares= $2,248 + $172,428 - $84,568= $90,108
Annual Holding Period Yield = ((Total Return on Investment / Total Cost of shares)^(1/number of years)) - 1= (($90,108/$84,568)^(1/4)) - 1= (1.06769^(1/4)) - 1= 0.135 = 13.5% (rounded to one decimal place)Therefore, the annual holding period yield (in percentage) on the investment of 200 shares purchased at $422.84 a share and sold at $862.14 a share and a cash dividend of $11.24 per share is 14.27%. (rounded to two decimal places).
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Mr Helmi is considering to invest in three investments. The first is a preferred share that has a par value of RM100. The preferred share is currently selling at RM78 and a pay an annual dividend of RM9.50. The required rate of return for this preferred share is 12 percent. The second investment is a common share that recently paid a RM3.40 dividend. The share is currently selling for RM25.80 and a reasonable required rate of return for the share is 18 percent. The third investment is bond that have face value of RM1,500 and 8 percent coupon rate, paid annually. The bond will mature in 13 years that pay 10% interest rate. Compute the value of each security.
Preferred Share: the value of the preferred share is RM79.17.
Common Share: the value of the common share is RM18.89.
Bond: the value of the bond is RM840.27.
Let's calculate the value of each security:
Preferred Share:
The value of a preferred share can be calculated using the dividend discount model. The formula is:
Value of Preferred Share = Dividend / Required Rate of Return
Value of Preferred Share = RM9.50 / 0.12 = RM79.17
Therefore, the value of the preferred share is RM79.17.
Common Share:
The value of a common share can be calculated using the dividend discount model. The formula is:
Value of Common Share = Dividend / (Required Rate of Return - Growth Rate)
Assuming a constant growth rate of 0%, as no growth rate is provided:
Value of Common Share = RM3.40 / (0.18 - 0) = RM18.89
Therefore, the value of the common share is RM18.89.
Bond:
The value of a bond can be calculated as the present value of its future cash flows. In this case, the bond has a face value of RM1,500, a coupon rate of 8%, and it pays interest annually. The bond will mature in 13 years and pays a 10% interest rate.
Using the formula for present value of a bond:
Value of Bond = (Coupon Payment / Required Rate of Return) * (1 - (1 / (1 + Required Rate of Return)^n)) + (Face Value / (1 + Required Rate of Return)^n)
Value of Bond = (RM1,500 * 0.08) * (1 - (1 / (1 + 0.10)^13)) + (RM1,500 / (1 + 0.10)^13) = RM840.27
Therefore, the value of the bond is RM840.27.
In summary, the value of each security is as follows:
Preferred Share: RM79.17
Common Share: RM18.89
Bond: RM840.27
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what your name answer in 1 minute
Answer:
Adrean :)
Explanation:
eugh
what is your names my name is janaye
Answer:
Elijah but I go by Mayhem
Explanation:
Answer:
my name is Michelle
Explanation: LOL
The price of mangoes is currently $5.00 per pound. At this price, producers are supplying 4,000 pounds of mangoes. Point C on the graph shows the current equilibrium price and quantity. To which point will the equilibrium shift if the demand increases suddenly because of a non-price determinan
t of demand?
Answer:
yes
Explanation:
Answer:
Point "B"
Explanation:
The following rule of thumb is to follow your equilibrium point. D2 "Demand Curve 2" and S1 "Supply Curve 1" illustrates how demand increases because of a non-price determinant.
3. ______ are defined as goods or services that are required for health and safety.
Occupational Health and Safety are defined as goods or services that are required for health and safety. Information standards are guidelines governing the information that must be provided to consumers when they purchase specific goods.
What is the safety of goods?A safe product is one that delivers either no risk or a minimum tolerable level of risk, taking into account the product's typical or reasonably foreseeable use and the need to maintain a high level of consumer protection.
Occupational health and safety is a multidisciplinary discipline that deals with all elements of workplace health and safety, with a heavy emphasis on preventing workplace dangers.
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After listing a home with a broker, the seller told the broker NOT to disclose a major structural defect in the house. What should the broker do
Answer:
he should not disclose a major structural defect in the house
Between the previous balance method and the daily balance method, which method of calculating yvonne's june finance charge will result in a greater finance charge, and how much greater will it be? a. The daily balance method will have a finance charge $0. 21 greater than the previous balance method. B. The daily balance method will have a finance charge $0. 53 greater than the previous balance method. C. The previous balance method will have a finance charge $0. 45 greater than the daily balance method. D. The previous balance method will have a finance charge $0. 40 greater than the daily balance method.
d)The previous balance method will have a finance charge $0.40 greater than the daily balance method.
The previous balance method calculates finance charges based on the outstanding balance at the end of the previous billing cycle, whereas the daily balance method calculates finance charges based on the outstanding balance at the end of each day of the billing cycle.
In this case, Yvonne made a payment on June 7th and had two purchases on June 11th and June 21st. The previous balance method would take into account the unpaid balance from the previous month, while the daily balance method would take into account the unpaid balance at the end of each day, resulting in a higher finance charge.
The difference between the two methods is $0.40, making the previous balance method the greater finance charge.
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suppose total deposits increase by $4,000 after all rounds of the money-creation process when the fed buys $1,000 worth of u.s. government securities. this implies that the maximum value of the required reserve ratio is:
The maximum value of the required reserve ratio can be calculated using the deposit multiplier formula, which is the reciprocal of the reserve ratio.
In this scenario, the increase in total deposits by $4,000 due to the Fed's purchase of $1,000 worth of U.S. government securities implies a maximum required reserve ratio of 0.25 or 25%. To determine the maximum required reserve ratio, we can use the deposit multiplier formula, which is calculated as the reciprocal of the reserve ratio. The deposit multiplier represents the potential increase in total deposits resulting from an initial injection of funds into the banking system.
By applying the deposit multiplier formula, we can calculate the reserve ratio:
Deposit Multiplier = 1 / Reserve Ratio
$4,000 / $1,000 = 1 / Reserve Ratio
Reserve Ratio = $1,000 / $4,000
Reserve Ratio = 0.25
The reserve ratio, expressed as a decimal, is 0.25 or 25%. Therefore, the maximum value of the required reserve ratio in this scenario is 25%. This means that banks are required to hold reserves equivalent to 25% of their deposits, allowing for a deposit multiplier of 4, resulting in a $4,000 increase in total deposits from the initial $1,000 injection by the Fed.
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why did God call abraham
Answer: god chose Abraham and said i will make you a great nation and i will bless you.
Explanation: god commanded Abram to move to another country . This is why god planned to make of Abram a new nation from which the prophets of god and the savior of the world would arise.
department a has 1,000 square feet and department b has 2,000 square feet. assuming an allocation rate of $0.50 per square foot, a total of $ should be allocated to department b.
Department a has 1,000 square feet and department b has 2,000 square feet. assuming an allocation rate of $0.50 per square foot, a total of $ should be allocated to department b is $1000 .
It is calculated as follows:
Allocation rate = $0.50
Department A has square feet = 1000 square feet
Allocation to be done = $0.50*1000
= $500
Department B has square feet = 2000 square feet
Allocations to be done = $0.50*2000
= $1000
Allocation refers to the distribution of cost to the different entities or department.
Cost allocation is the study of cost management which helps in decision making. It helps to know the performance of the respective department and the profitability from that particular department. It helps in making comparisons also. It is time consuming process.
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how to answer the question if hired, can you present evidence of your u.s. citizenship or proof of your legal right to work in this country?
During an interview, you should respond by stating that you can provide legal proof of your right to work in the United States.
You can also mention the forms of documentation you have with you that demonstrate your eligibility to work in the United States.
This is a standard employment question asked by most employers. Legal right refers to the rights that are derived from the law, and it is also referred to as the natural rights or the basic rights. Legal rights can be divided into three types: primary rights, secondary rights, and remedial rights.
The right to life, the right to freedom of speech, the right to a fair trial, and the right to be free from discrimination are all examples of legal rights. What is the importance of legal right? The importance of legal right is that it protects and regulates the conduct of individuals and institutions.
Legal rights also provide protection against abuses, discrimination, and harmful conduct, as well as providing a framework for resolving disputes. Legal rights give us the freedom to live our lives in a fair and just manner, as well as providing the means to resolve conflicts and maintain order. Legal rights are critical because they allow us to live and function in a society that is safe and secure.
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An innovative business idea that no one has never had
An innovative business idea that no one has never had is Offering virtual assistance to other businesses.
What is innovative business idea ?innovative business idea can be described as an idea in business that cn be developed so that it can be a way to earn a living by providing the services or the goods to the consumer.
It should be noted that this innovation can be the one that no one has ever done or the modification of the one that has been in exisitence, however providing the virtual assistance serves as one of the innovation in business that can ring profit.
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Complete question:
State An innovative business idea that no one has never had
YALLL HELPPPP
In what ways would a balanced budget amendment affect mandatory spending ?
Answer:
i hope it helps you :)
Explanation:
A balanced budget amendment is a constitutional rule requiring that a state cannot spend more than its income. It requires a balance between the projected receipts and expenditures of the government. ... The Republican Party has advocated for the introduction of a balanced budget amendment to the U.S. Constitution.
Answer:
To answer this question, we must first understand that this would mean the US or a state is not allowed to spend more than its income. This means that the answer to this question is situational. Typically a balanced budget amendment would be used if a state or country seems like it is about to go into debt due to overspending; thus if you apply this information to the US's situation, then you will get your answer. This answer would most likely be that the US does not need to pass a balanced budget amendment since it doesn't seem to be showing signs of becoming in debt.
Help me please, i’ll give brainliest and 15 points!!!!
what are the steps to start living a fire lifestyle (financial independence and retire early)?
Fire which full meaning is Financial Independence Retire Early is a life style that enables a person to retire early and be Financially independent by saving or investing in thing that will lead to financial gain after they retired.
Which means that such individual will have to reduce their expense and look for a better way to increase their income.
The steps to start living a fire lifestyle are:
•Save and invest
•Do not borrow money
•Save for your children education
•Reduce your expenses
•Do not spend your saved retirement money
•Ensure you save money into your individual retirement account etc
Inconclusion For a person to live a fire lifestyle such person need to plan for the future by saving and investing.
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The idea that firms will get the most for their money when they pay wages higher than the equilibrium wage is called:
The idea that firms will get the most for their money when they pay wages higher than the equilibrium wage is called optimal-wage theory.
What is optimal-wage theory?Optimal efficiency wage is one that that do occur when marginal cost of an increase in wages can be attributed to the marginal benefit associated to productivity.
Hence, idea that firms will get the most for their money when they pay wages higher than the equilibrium wage is called optimal-wage theory.
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What are 5 factors that indicate the economy is growing?
There are five factors that indicate the economy is growing as :
Natural Resources, Deregulation, Technology, Human Resources, Infrastructure.
Now, According to the question:
Let's know:
What do you mean by economic growth?
Economic growth – measured as an increase of people's real income – means that the ratio between people's income and the prices of what they can buy is increasing: goods and services become more affordable, people become less poor.
There are five factors that indicate the economy is growing as follows:
Natural Resources. Natural resources are the number one factor that spurs economic growth. Deregulation. People were meant to trade with each other. Technology. Technology has always played a pivotal role in economic growth. Human Resources.Infrastructure.Learn more about Economy Growth at:
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(q065) the economy of the 1970s moved from stagflation to affluence, increasing the appeal of the conservative argument that government regulation raised business costs and eliminated jobs.
In the 1970s, the economy experienced a shift from stagflation to affluence. Stagflation refers to a period of high inflation combined with high unemployment and slow economic growth.
On the other hand, affluence refers to a state of wealth and prosperity. During this time, the conservative argument gained popularity, claiming that government regulation increased business costs and resulted in job loss. The idea was that by reducing government regulation, businesses would have more freedom to operate and create jobs, leading to economic growth.
1. Stagflation: In the 1970s, the economy faced the problem of stagflation. This was a combination of stagnant economic growth, high inflation, and high unemployment. It was a challenging time for both businesses and individuals.
2. Government regulation: The conservative argument focused on the role of government regulation in exacerbating the economic challenges. The argument stated that government regulations increased business costs, making it harder for businesses to operate and grow.
3. Job loss: Conservatives claimed that excessive government regulation resulted in job losses. According to this viewpoint, when businesses face higher costs due to regulation, they may need to cut back on expenses, which can include reducing the number of employees.
4. Appeal of the conservative argument: As the economy moved towards affluence, meaning a state of wealth and prosperity, the conservative argument gained appeal. People saw the benefits of a less regulated economy, which they believed would stimulate business growth and job creation.
To summarize, the economy of the 1970s experienced a transition from stagflation to affluence. This shift increased the appeal of the conservative argument that government regulation raised business costs and eliminated jobs. However, it's important to note that this is a perspective and there are varying viewpoints on the relationship between government regulation, business costs, and job creation.
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An important difference between the situation faced by a profit-maximizing competitive price-searcher firm in the short run and the situation faced by that same firm in the long run is that in the short run,.
The short-run scenario of a profit-maximizing competitive price-searcher business differs significantly from the long-run situation of the same firm in that price may surpass marginal revenue in the short run, but the price will equal marginal revenue in the long run.
What exactly is profit maximization?Profit maximization is the process through which a company determines the pricing, input, and production levels that will result in the maximum feasible overall profit in the short or long run (or just profit in the short). In neoclassical economics, which is now the dominant approach to microeconomics, the company is supposed to be a "rational agent" (whether functioning in a perfectly competitive market or not) seeking to maximize total profit, which is the difference between total revenue and total cost.
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Firm A has Revenue Function R = 2009 - 4q 2 and cost function C = 0.59 2 + 119 + 70. What is the level of production that maximizes Firm A's profit? 45.7777 21 18.8889 6 Firm A sells good X. It faces demand q = 100 - 2P, where P is the price of X. Firm A's cost function is C = 2q2 + 159 + 10. What is the profit function of Firm A? -22 + 100 - 5 -2.5q2 + 359 - 10 4q2 + - 100 2q2 +40 - 16 Firm A sells good X. It faces demand q = 40 - 4P, where P is the price of X. What is the revenue function of Firm A? 404 -0.2592 109 - 0.2592 10-22 400 - 492
Firm A has revenue function R = 2009 - 4q^2 and cost function C = 0.59q^2 + 119q + 70. To find the level of production that maximizes .
Profit (P) = Revenue (R) - Cost (C)
Substituting the given revenue and cost functions, we get:
P = (2009 - 4q^2) - (0.59q^2 + 119q + 70)
P = 2009 - 4q^2 - 0.59q^2 - 119q - 70
P = -4.59q^2 - 119q + 1939
To maximize profit, we need to take the derivative of the profit function with respect to q, set it equal to zero, and solve for q:
dP/dq = -9.18q - 119 = 0
q = -119/-9.18
q = 12.952 approximately 13.
In general , revenue function is a mathematical expression that describes the relationship between the quantity of a product or service sold and the revenue earned by a company. In other words, it is a formula that calculates the total amount of money a company generates by selling a certain number of units of its product or service.
Also, Revenue functions are important tools for businesses to analyze their sales performance and make informed decisions about pricing, production, and marketing.
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When making decisions, managers often must decide between doing what is beneficial for the firm in the short term, and what is beneficial for both the firm and society in the long term. To address this conflict, a firm must
When making decisions, managers are often faced with a conflict between what is beneficial for the firm in the short-term and what is beneficial for both the firm and society in the long-term.
This conflict arises because the actions that benefit the firm in the short-term may not necessarily align with the interests of society as a whole, which can lead to negative consequences for both the company and society in the long-term.
To address this conflict, a firm must adopt a long-term orientation and consider the broader social and environmental impacts of its decisions. This means looking beyond immediate financial gains and recognizing that actions taken today can have far-reaching implications for the company's reputation, customer loyalty, employee morale, and overall sustainability.
Firms that prioritize social responsibility and sustainable business practices are more likely to build strong relationships with stakeholders, including customers, employees, investors, and regulators. They are also better equipped to weather economic downturns and other disruptions, as they have diversified their risk and invested in building resilient supply chains and communities.
Ultimately, the key to addressing the conflict between short-term gains and long-term benefits is a commitment to corporate social responsibility (CSR) and sustainable business practices. By prioritizing the needs of society and the environment alongside those of shareholders, firms can create value for all stakeholders over the long-term, ensuring their continued success and impact.
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In addition to working on construction sites, where else might a sheet metal worker typically be employed?
community college
office
farm
factory
Answer:
factory
Explanation:
Just did the test your welcome.
Yesterday in class we discussed 4 Era’s of Marketing and how the situation of the world at that time impacted businesses, specifically, marketing. The assignment is to choose ONE of the following era’s and write a letter to a loved one as if you were just starting a job during the marketing era of your choice. In your letter you should mention what is happening in the world to cause this shift in marketing, and what your role is going to be. You can choose which company you are working for: maybe you are starting a job on the assembly line, or becoming a door to door salesperson! Be creative and have fun with it. If you want, try to imagine what the world was like during that time period and use language or current events to make your letter sound more believable.
The letter should be at least 2 paragraphs long and should display that you understand how businesses are using marketing in this new era.
4 Eras:
Production Era (1800’s - 1920)
Selling Era (1920s - 1950s)
Marketing Era (1950s - 1990s)
Value Era ( 1990s - Current )
the consumer decision process, along with the experiences and acquisitions associated with it, affects the internal and external characteristics of consumers. what aspect of the consumer is most influenced by this?
The aspect of the consumer that is most influenced by the consumer decision process, along with the experiences and acquisitions associated with it is the consume attitude.
The consumer decision-making process is the process that the consumer undergoes when deciding whether or not to buy a product.
It involves a number of stages, including recognizing the need for the product, searching for information about the product, evaluating the alternatives, making a purchase decision, and evaluating the post-purchase behavior.
The consumer decision process influences the internal and external characteristics of consumers. It is influenced by a variety of factors, including their motivation, perception, learning, and attitudes.
Attitudes are an important aspect of the consumer that is influenced by the consumer decision-making process, along with the experiences and acquisitions associated with it.
Characteristics of consumers refer to the traits or qualities of individuals who buy goods or services. They include demographic factors such as age, gender, income, education, and occupation, as well as psychographic factors such as personality, values, and lifestyle.
Other characteristics of consumers include their behavior and attitudes towards buying and using products.
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THERE ARE TEN BUTTONS ON THE TABLE
Answer:
what
Explanation:
..............................cool................
Sample advertisement: Lose body fat and feel healthier with our proven supplement, Edgozene! Losing weight is easy with Edgozene! Just take two pills before each meal. You'll feel more full and eat less. No other diet pill offers what our product does - and for a limited time, if you buy now you can get two bottles of Edgozene for just $29.95! Which of these statements from the advertisement are facts? Check all that apply. A) Losing weight is easy with Edgozene. B) You will lose weight and feel healthier if you take Edgozene. C) You will receive two bottles of Edgozene when you order. D) Edgozene costs $29.95. E) You won’t eat as much if you take Edgozene.
Answer:
C) You will receive two bottles of Edgozene when you order.
D) Edgozene costs $29.95.
Explanation:
We assume that 1 order costs $29.95 and delivers 2 bottles. (That is, we assume that you cannot order 1 bottle for $14.98.) Under that assumption, the cost is $29.95 (D) and the amount delivered is 2 bottles. (C)
There is no way to determine whether any other claims are facts, or not. As a rule, feelings experienced when eating are a function of a lot more than just a diet pill. That is, you may or may not eat less when/if you feel more full.
Answer:
c,d
Explanation: