To calculate the expected return of your portfolio, we need to consider the weight or proportion of each stock in your portfolio and multiply it by the expected return of that stock. Here's how you can calculate it:
1. Calculate the amount of money invested in each stock based on the given percentages:
- Amount invested in the stock with a 15% expected return: 15% * $69,000 = $10,350
- Amount invested in the stock with an 18% expected return: $31,000
- Amount invested in the stock with a 21% expected return: Remaining balance = $69,000 - $10,350 - $31,000
2. Calculate the weighted average of the expected returns:
- Multiply the amount invested in each stock by its expected return.
- Sum up the results and divide by the total amount invested.
Let's calculate the expected return of your portfolio:
Expected return from the stock with a 15% expected return: 15% * $10,350 = $1,552.50
Expected return from the stock with an 18% expected return: 18% * $31,000 = $5,580
Expected return from the stock with a 21% expected return: 21% * (Remaining balance)
To find the expected return of the portfolio, we need to calculate the remaining balance:
Remaining balance = $69,000 - $10,350 - $31,000 = $27,650
Expected return from the stock with a 21% expected return: 21% * $27,650 = $5,802.50
Now, sum up the expected returns from each stock:
Total expected return = $1,552.50 + $5,580 + $5,802.50
Finally, divide the total expected return by the total investment amount ($69,000) and multiply by 100 to express it as a percentage:
Expected return of your portfolio = (Total expected return / $69,000) * 100
Calculating the expected return:
Expected return of your portfolio = (($1,552.50 + $5,580 + $5,802.50) / $69,000) * 100
Expected return of your portfolio ≈ 16.45%
Therefore, the expected return of your portfolio is approximately 16.45% (rounded to two decimal places).
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Daphne works as the only salesperson in her aunt’s tax preparation business. Describe the selling process for a small business like this one, and how the steps of the sales process differ based on her situation.
Prospecting is the initial stage of the sales process. You locate potential clients in this stage and assess whether they require your good or service and whether they can afford what you have to offer.
What is the Selling process?The series of actions a salesman takes to market a product is known as the selling process. The selling process is a full cycle that begins with customer identification and ends with contract closure. It applies more to business-to-business sales where the sales cycle is lengthier and may take longer to close. The selling process may be quicker and more sporadic in B2C.
Prospecting, pre-approach, approach, presentation, resolving objections, closure, and customer follow-up are just a few of the steps in the selling process.
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Sales process different in her situation because of the applying the applicable tax rate to the entire sales price yields the amount of tax owing on taxable sales.
what is tax?
a tax that is required to be paid to the state and is either added to the price of some products, services, and transactions or is imposed by the government on the income of employees and corporate earnings.
Fundamental method for nations to produce public revenues that enable them to support investments in human capital, infrastructure, and the provision of services for citizens and businesses is through the collection of taxes and levies.
Thus, Daphne's tax preparation is different from sales process steps.
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Which pathway would you find in the Agriculture, Food, and Natural
Resources Career Cluster?
O A. Quality Assurance
O B. Biotechnology Research and Development
O C. Natural Resource Systems
O D. Consumer Services
Answer:
O B. Biotechnology Research and Development
Explanation:
The agriculture, food and natural resources cluster comprise all careers related to the production of agricultural products. It includes farmers, scientists, veterinarians, bio technologists, extension officers, and many others. The cluster has skilled professionals who research and develop modern methods of improving agricultural productivity. Biotechnology Research and Development will fit into this role.
Answer: natural resource systems
Explanation:
When protecting the availability, integrity, and confidentiality of data, services, networks, and systems, the
of the data, service, network, or system should ideally not be compromised.
When protecting the availability, integrity, and confidentiality of data, services, networks, and systems, the security policies of the data, service, network, or system should ideally not be compromised.
What is the C-I-A security triad?The C-I-A security triad is an abbreviation for confidentiality, integrity and availability. Also, it can be defined as a cybersecurity model that is designed and developed to guide security policies for information security in a business firm, in order to effectively and efficiently protect and make their data available to authorized end users.
In this context, we can infer and logically deduce that the security policies of the data, service, network, or system should ideally not be compromised when protecting the availability, integrity, and confidentiality of data, services, networks, and systems.
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When would you include an executive summary in a report?
Answer: Is B. When the report is 30 Pages long
Explanation: because I know
What's the BEST way to make sure that marketing copy uses conversational language? Question 19 options: Use quotations around every statement. Run it through a spell-checker. Read it out loud. Use sophisticated, pompous-sounding language.
The best way that would be used to show that the marketing copy makes use of conversational language would be to Use quotations around every statement.
What is a conversational language?This is the term that is used to refer to the language or the words that are made use of in everyday communication. It is the type of communication that has to do with the language that people would use with their peers as well as when they go through certain activities like when they are shopping.
The use of the conversational language would be done here by running it around a spell checker.
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If you are projecting your future financially, what are your
doing?
Risking
Forecasting
Managing
Expanding
Answer:
Forecasting
Explanation:
Because a weather forecast looks ahead for weather. You are forecasting your financial future
Chen created a grantor trust in 2016 and obtained an employer identification number (EIN). He passed away on October 19, 2021. His personal representative is the trustee of his testamentary trust and the personal representative of his estate. The personal representative will need to:
A)Apply for an EIN for the estate and keep the grantor trust EIN for the testamentory trust.
B)Apply for one new EIN for both the estate and the testamentory trust.
C)Keep the same EIN for both his estate and the testamentory trust.
D)Obtain a separate EIN upon Chen's death for the estate and the testamentory trust.
PLEASE help with homework...
The personal representative will need to obtain a separate EIN upon Chen's death for the estate and the testamentary trust. So, the correct answer is D.
In this scenario, Chen created a grantor trust in 2016 and obtained an EIN for it. However, upon Chen's death, his personal representative becomes the trustee of the testamentary trust and the personal representative of his estate.
Since the grantor trust and the testamentary trust are separate entities with different purposes and responsibilities, it is necessary to obtain a new Employer Identification Number (EIN) for the testamentary trust. The testamentary trust is created upon Chen's death and is a separate legal entity from the grantor trust.
Additionally, the personal representative will also need to apply for an EIN for the estate. The estate represents the assets, debts, and obligations of the deceased individual and requires its own EIN for tax and administrative purposes.
Therefore, the correct answer is D) Obtain a separate EIN upon Chen's death for the estate and the testamentary trust. Each entity, the estate and the testamentary trust, should have its own unique EIN to fulfill the necessary legal and tax requirements.
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describe two examples of human capital that you have developed
Two examples of human capital that can be developed are:
Education : by enrolling in school, education is developed. During the process of education, skills needed for the production of goods and services in developed.
Job experience : by undertaking internships and summer jobs, labour is developing their human capital.
What is human capital?
Human capital are qualities that labour posses that are useful in the production of goods and services. Human capital is an an intangible asset. It is the economic value attached to labours' skills and expertise.
Examples human capital are:
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How is the technology of spinning the water mill developed? Explain.
Answer:
Explanation:
Water mill technology is based on hydropower meaning that water is used to drive the turbines in a rotation motion.
The wheel is attached to the axle in the center horizontally and water with high pressure and velocity is streamed on it causing the turbine to rotate which operates all the processes in the mill. It can be used for milling, grinding, hammering, etc.
Such processes are used to produce substances like lumber and textiles.
The force of the water's movement drives the blades of a wheel or turbine, which in turn rotates an axle that drives the mill's other machinery, this developed the spinning water mill.
Modern and New Spinning Technologies:
The newer spinning systems developed since then include rotor spinning, air-jet spinning, friction spinning, vortex spinning, electrostatic spinning, core spinning, wrap spinning, twistless spinning, and others. The structures of yarn obtained from these systems are also different and vary in many aspects.
Rotor Spinning – also known as open-end spinning. It uses a carded sliver that is fed onto a succession of single-spiked rollers that run at high speed. These rollers open the sliver so that the fibers can be fed almost individually via an airstream onto a grooved funnel that spins at a fast rate.
The spinning funnel collects a thin layer of fibers that are twisted together as they pass through to form the yarn. This system produces yarn five to ten times quicker than ring-spinning processes, but the structures are harsher, which makes them less popular than ring-spun yarn.
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Solve the exponential equation by taking the logarithm on both sides. 5^(x+8)=7
x = (log₅7) - 8
Explanation:Given;
\(5^{x+8}\) = 7
Take log of both sides;
log₁₀(\(5^{x+8}\)) = log₁₀7 -------------(ii)
From the laws of logarithm remember that;
logₐ xⁿ = n logₐ x
Equation (ii) can then be written as;
(x + 8)log₁₀5 = log₁₀7
Divide both sides by log₁₀5
(x + 8) = \(\frac{log_{10}7}{log_{10}5}\) -----------(iii)
From the laws of logarithm, remember that;
\(\frac{log_{a}x}{log_{a}y} = log_yx\)
Equation (iii) can thus be written as;
(x + 8) = log₅7
x + 8 = log₅7
Make x subject of the formula;
x = (log₅7) - 8
How many days does the pay stub cover?
Answer:
Pay stubs are usually an extent of 30 days which is a month.
Cost bank loan Delta Company wishes to borrow Rs 100,000 for 1 year. It must choose one of the following alternatives. a. 9 percent loan on a collect basis, with face value due at end. b. 8.4 percent loan on a discount basis, with face value due at the end. C. 6 percent loan on an add on basis, with equal quarterly payments required on the initial face value. Which alternative has the lowest effective yield, using annual compounding for the first two and quarterly compounding for the last?
Option C has the lowest effective yield among the three alternatives.
How did we arrive at this assertion?To determine the alternative with the lowest effective yield, calculate the effective yields for each of the three options and compare them.
Option a: 9 percent loan on a collect basis, with face value due at the end.
In this case, the loan amount is Rs 100,000, and the interest rate is 9 percent. Since it is a collect basis loan, the interest is paid at the end of the year. Therefore, the total amount repaid at the end of the year would be Rs 100,000 + (9% of 100,000) = Rs 109,000.
Option b: 8.4 percent loan on a discount basis, with face value due at the end.
For a discount basis loan, the interest is deducted upfront, and the borrower receives the net amount. In this case, the loan amount is Rs 100,000, and the interest rate is 8.4 percent. The interest deducted upfront would be (8.4% of 100,000) = Rs 8,400. So, the borrower would receive Rs 100,000 - Rs 8,400 = Rs 91,600. At the end of the year, the borrower must repay the face value, which is Rs 100,000.
Option c: 6 percent loan on an add-on basis, with equal quarterly payments required on the initial face value.
For an add-on basis loan, equal payments are made periodically, and the interest is calculated on the initial face value. In this case, the loan amount is Rs 100,000, and the interest rate is 6 percent. The payments are made quarterly, so there will be 4 quarterly payments. The quarterly payment would be (100,000/4) = Rs 25,000. At the end of the year, the borrower would have made 4 payments of Rs 25,000 each, totaling Rs 100,000.
To calculate the effective yield for each option, find the interest rate that, when compounded annually for the first two options and quarterly for the last option, would result in the amounts mentioned above.
For option a:
Effective yield = (109,000 / 100,000)^(1/1) - 1 = 9%
For option b:
Effective yield = (100,000 / 91,600)^(1/1) - 1 = 8.4%
For option c:
Effective yield = (100,000 / 100,000)^(1/4) - 1 = 0%
Comparing the effective yields, option c, the 6 percent loan on an add-on basis with equal quarterly payments, has the lowest effective yield of 0%. Therefore, option c has the lowest effective yield among the three alternatives.
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A new project will have an intial cost of $35,000. Cash flows from the project are expected to be $−2,000,$4,000,$8,000,$16,000 and $32,000 over the next 5 years, respectively. Assuming a discount rate of 12%, what is the project's NPV? $440.18 $423.25 $406.32 $393.62 $431.72
The NPV of the new project is $406.32.
The calculation is done by adding up all the present values of the cash flows and subtracting the initial cost.
The formula is NPV = CF1/(1+r)^1 + CF2/(1+r)^2 + … + CF n/(1+r)^n - Initial Cost.
NPV (Net Present Value) is a financial term used to determine the profitability of an investment or project. It shows the difference between the present value of cash inflows and the present value of cash outflows over a period of time. In this case, the initial cost of the project is $35,000, and the cash flows from the project are expected to be $−2,000,$4,000,$8,000,$16,000 and $32,000 over the next 5 years, respectively.
Using the NPV formula, NPV = CF1/(1+r)^1 + CF2/(1+r)^2 + … + CF n/(1+r)^n - Initial Cost, where r = discount rate and n = number of years, we can calculate the NPV of the project. Using a discount rate of 12%, the calculation is as follows: NPV = -2000/(1+0.12)^1 + 4000/(1+0.12)^2 + 8000/(1+0.12)^3 + 16000/(1+0.12)^4 + 32000/(1+0.12)^5 - 35000= $406.32Therefore, the NPV of the new project is $406.32.
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lena got a prepaid debit card with $20 on it. for her first purchase with the card, she bought some bulk ribbon at a craft store. the price of the ribbon was 13 cents per yard. if after that purchase there was $15.71 left on the card, how many yards of ribbon did lena buy?
Given the sum that was on the prepaid debit card and the sum left after Lena paid for the yards of the strip, the number of yards of lace she purchased was 39 yards of strips
the sum in Lena's prepaid debit card = is $15
After buying,
Sum left in his debit card = $20
then, at that point, the sum Lena spend on ribbons= $20 - $15.71 = $4.29
what's more, considering that,
The cost of the lace of 1 yard=11 penny
what's more, we find the aggregate sum spend on ribbon= $4.29 * 100cents
= 429 cents.
(Since that's what we know,) $1 = 100 pennies
Subsequently, length of lace Lena bought= 429/11 yards = 39 yards
Subsequently, the length of the Lena bought=39yards.
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3. Of the following provisions that might be found in a bond indenture, which would tend to reduce the coupon interest rate on the bond in question?
a
A subordination clause in a debenture.
b
A call provision.
c
A convertible feature.
d
Having relatively few restrictive covenants.
e.
All of the above.
The bond in question's coupon interest rate would typically be reduced by a convertible feature.
Define the term "convertible feature"?An asset that can be changed by the shareholder into common stock is known as a convertible, which can be a bond, preference share, or other type of financial instrument. Convertible securities aren't considered to be either debt or equity; rather, they're viewed as a cross between the two groups because they have the cash flow characteristics of both bonds and stocks.
What distinguishes a convertible bond from other bonds?An investment that may be converted into a predetermined number of shares of common stock is known as a convertible bond. It pays fixed-income interest payments. During the bond's term, the bond can be converted into stock at precise points at the bondholder's option.
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What is an externality?
Answer:
An externality is a cost or benefit caused by a producer that is not financially incurred or received by that producer. An externality can be both positive or negative and can stem from either the production or consumption of a good or service.
Explanation:
Which of the following describes how the U.S. government protects and supports farmers and ranchers?
through establishing and maintaining food standards
through programs that provide direct payments
through allowing agribusiness companies to create oligopolies
through strict measures of qualis for commodities
first one to get it right gets Brainliest
Answer:
through allowing agribusiness companies to create oligopolies
Explanation:
Answer:
through programs that provide direct payments
Explanation:
The United States government gives free money to farmers and ranchers through a government subsidiary.
Renata's US-based lifestyle company decides to invest in a company based in France that specializes in health and wellness. This would be an example of
People often make investments the health and wellness sector. This would be an example of foreign direct investment.
What is a foreign direct investment (FDI)?This is known as a purchase of an interest that a firm is involved in. Here, the company by a company or an investor are found outside its borders.
The 3 types of FDI are;
Horizontal FDIVertical FDIConglomerate FDIIt is simply a business decision to get or buy a good amount of stake in a foreign business as in the case with Reneta.
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What type of business sells to the end consumer
Answer:
business-to- consumer (B2C)
Explanation:
Commerce is a business model which typically involves the buying and selling of goods or products at a given price.
Generally, commerce comprises of four (4) business models and these are;
1. Business to Business (B2B).
2. Consumer to Consumer (C2C).
3. Business to Government (B2G).
4. Business to Consumer (B2C).
A Business to Consumer (B2C) can be defined as a market which typically involves businesses selling their goods and services directly to the end consumers for their personal use.
Hence, the type of business that sells to the end consumer is known as business-to- consumer (B2C).
Some examples of companies that engage in the Business to Consumer (B2C) business model are; Amazon, Goo-gle, Walmart, Alibaba, Uber, LinkedIn, etc.
what do you prefer local fundraising or global fundraising and why? (just one reason)
Answer:
Doing local fundraising for a large organization can sometimes seem complicated and unwieldy. Whether you are running a local affiliate of a large national organization, or are responsible for raising funds in a single neighborhood for a small, city-wide charitable group, raising local money for larger groups presents a unique challenge. I prefer local fundraising
global fundraising
Explanation:
because you can help people without water and electricy
The restaurant sector continues to grow despite the hurting economy.
true or false
Answer:
True
Explanation: do my monkey dance
The Shell Corporation has a 34% tax rate and owns a piece of petroleum-drilling epidament that costs $123,100 and will be depreciated at a CCA rate of 30%. Shell will kase the equipment to others and each year receive $34,000 in rent. At the end of the years, the firm will sell the equipment for $33,500. All values are presented in today's dollars Calculate the overall present worth of these cash flows with tax effects if market interest rate is 10% and annual inflation rate is 2%.
So, the overall present worth of these cash flows with tax effects is $17,847.65.
The overall present worth of these cash flows with tax effects can be calculated using the present value formula, which is:
PV = FV / (1 + r)^n
where PV is the present value, FV is the future value, r is the interest rate, and n is the number of periods.
In this case, the future value is the equipment's cost minus its salvage value at the end of its useful life. The salvage value is calculated by subtracting the accumulated depreciation from the equipment's cost.
The salvage value of the equipment at the end of its useful life is calculated as follows:
Salvage value = Cost - Accumulated Depreciation
Salvage value = 123,100−123,100 * (34/100) = $98,647
The future value of the equipment is therefore:
Future value = 123,100−98,647 = $24,453
The interest rate is the tax rate, which is 34%. The number of periods is the number of years that the equipment will be rented, which is 4 years.
PV = Future value / (1 + 34/100)^4
PV=24,453 / 1.344
PV = $17,847.65
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A stock trade order, typically used for a large quantity, which is to be withdrawn if not executed immediately and completely, is commonly known by what rhyming phrase?
The stock trade order that is withdrawn if not executed immediately and completely is commonly known by the rhyming phrase "iceberg order". An iceberg order is typically used for a large quantity of shares and is designed to keep the full size of the order hidden from the market. This is done to avoid affecting the market price of the stock by revealing the full size of the order.
When an investor places an iceberg order, only a small portion of the order is visible to the market. The remainder of the order is kept hidden and is only executed once the visible portion has been filled. If the visible portion is not filled immediately and completely, the order is withdrawn to prevent any impact on the market price of the stock.
In conclusion, an iceberg order is a type of stock trade order that is withdrawn if not executed immediately and completely. It is commonly used for large quantities of shares and is designed to keep the full size of the order hidden from the market. The rhyming phrase "iceberg order" is a helpful way to remember this type of stock trade order.
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To calculate the number of montly payments required to pay off a loan or meet an investment goal, use the _______ function.
To calculate the number of monthly payments required to pay off a loan or meet an investment goal, use the nper function.
In finance, lending is the lending of money by one or more individuals, organizations, or other entities to other individuals and organizations, etc. The beneficiary incurs a debt and usually has to pay interest on that debt until that debt is also repaid. to repay the principal borrowed.
The promissory note will typically state, among other things, the principal amount of the loan, the interest rate charged by the lender, and the date of repayment. A loan involves reallocation of assets in question over a period of time, between the lender and the borrower.
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What is the next step after the irs accepts your return.
Answer:
Refund
Explanation:
After acceptance, the next step is for the government to review your refund. During the review process, they look for math errors on your return (extremely rare in TurboTax) and check if you owe back taxes, unpaid child support, or other debts. If they need to make any corrections, they may offset (reduce) your refund.
assume that all goods and services that comprise the market basket used to create a price index, are purchased in the same quantities in the current year and in the base year. if the total dollar expenditure on the market basket is greater in the current year than in the base year, which of the following could have occurred? check all that apply. prices of all the goods in the market basket increased. prices of all the goods in the market basket decreased. prices of some of the goods in the market basket increased, while prices of other goods in the market basket decreased. prices of all the goods in the market basket stayed the same.
Given: Assume that all goods and services that comprise the market basket used to create a price index are purchased in the same quantities in the current year and in the base year.
If the total dollar expenditure on the market basket is greater in the current year than in the base year, which of the following could have occurred?
Check all that apply:
Prices of all the goods in the market basket increased, prices of all the goods in the market basket decreased, prices of some of the goods in the market basket increased while prices of other goods in the market basket decreased, prices of all the goods in the market basket stayed the same.
Answer: Prices of some of the goods in the market basket increased, while prices of other goods in the market basket decreased, and prices of all the goods in the market basket increased could have occurred.
This is because in the base year, the market basket's total expenditure was less than in the current year, so the total cost of the market basket could have increased due to a combination of some prices increasing and others decreasing, or all prices increasing.
Market Basket is a term used to describe a set of consumer goods and services used to determine the current state of the economy for inflation measurement purposes.
The market basket is a list of items that are commonly purchased by consumers, and the price index (CPI) reflects the total cost of the goods and services in the market basket.
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A bond issue with a face amount of $500,000 bears interest at the rate of 7%. The current market rate of interest is 8%. These bonds will sell at a price that is:
As a result of the interest rate being 8% and the coupon being 7%, these bonds will sell at a price less than $500,000.
Why would the bonds sell less than $500,000?When a bond's coupon rate is less than the market rate of interest, it is referred to as a discount bond.
This means that the bond will be sold at a price that is less than its face value amount. In this case the market rate is higher than the coupon rate so the bond will sell for less than $500,000.
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9. If you found that you were in financial trouble because of credit and had great difficulty paying your monthly bills, what would you do?
Answer:
You would have to cut down on some luxuries, like lots of foods, amusement parks, shopping trips, etc. If you have have extra hours, work more hours, quite possibly take another job.
Explanation:
What is the present value of an investment $ 3311 to be received 8 years from today if the discount rate is 9.00 year ? keep answers to two decimals, such as 1234.59
9,010 is the present value of an investment of $ 3311 to be received 8 years from today if the discount rate is 9.00 years.
We have:
FV = 11463
N = 7
R = 3.5%
We have the following formula for PV:
PV = FV/ (1+r)^n
= 11,463/ (1+0.035)^7
= 11,463 / 1.2723
= 9,010.
In business finance, the discount rate is the rate of return used to discount future cash flows to their present value. This rate is often the weighted average cost of capital (WACC), the required rate of return, or the minimum rate of return an investor expects for the risk of an investment.
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Retailing today requires ______, which means creating a seamless cross-channel buying experience that integrates in-store, online, and mobile shopping.
Retailing today requires "omnichannel integration," which means creating a seamless cross-channel buying experience that integrates in-store, online, and mobile shopping.
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Retailing is the method of selling items and services to customers through various channels such as brick-and-mortar stores, online platforms, or mobile applications. It's a dynamic and complex industry that requires careful consideration and planning to stay ahead of the curve in terms of consumer trends and technological advancements.
Omnichannel integration is a concept that has arisen in recent years, in which retailers try to provide a consistent and seamless shopping experience to customers across various channels. This entails not just selling items through various channels but also providing a consistent brand message and user experience across channels. The purpose of omnichannel integration is to improve customer experience by enabling them to shop from anywhere at any time, whether they're in the store, at home, or on the go. Customers can now browse and buy goods online, pick them up at the store, or return them to any location. Retailers who can provide a smooth and integrated experience across channels are more likely to be successful than those who cannot. Therefore, omnichannel integration is critical for retailers today.
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