Answer:
My Nav is the right answer.
Explanation:
Net asset value (NAV) describes a fund's per part exchange value. NAV is calculated by separating the complete value of all the money and securities in a fund's responsibility, minus any mortgages, by the number of exceptional shares. The NAV estimation is necessary because it shows us how much one portion of the fund is worth.
Answer:
Applications CSS and JvaP
Explanation:
Answer:
The code is below. The output is "Eric went to Chipotle to buy 12 different types of Cars"
Explanation:
import java.util.scanner;
public class labprogram {
public static void main (string [ ] args) {
scanner scnr = new scanner (system.in) ;
string firstname;
string genericlocation;
int wholenumber;
string pluralNoun;
firstName = scnr.next();
genericLocation = scnr.next();
wholeNumner = scnr.nextInt();
pluralNoun = scnr.nextLine();
system.output.println(firstname + " went to " + genericlocation + " to buy " + wholenumber + " different types of " + pluralnoun + " . ");
}
}