FILL THE BLANK. 2. Hill and Helmers discuss the ways that the meaning of the Ground Zero Spirit, taken in the rubble of the twin towers on September 11, 2001, is influenced by audience's earlier understandings of the Flag Raising at Iwo Jima, taken during World War II. This is an example of the _____________ constitution of meaning.

A. symbolic

B. intertextual

C. ideological

D. compositional

Answers

Answer 1

This is an example of the intertextual. constitution of meaning. B. intertextualC. Option B

What is intertextual constitution?

The intertextual constitution of meaning refers to how the meaning of a text or cultural artifact is shaped by its relationship and connections to other texts or cultural references.

In the given scenario, Hill and Helmers discuss how the meaning of the Ground Zero Spirit photograph taken on September 11, 2001, is influenced by the audience's prior knowledge and understanding of the Flag Raising at Iwo Jima photograph taken during World War II.

The Flag Raising at Iwo Jima photograph is a well-known and iconic image that carries historical and symbolic significance. It represents American patriotism, unity, and resilience.

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Related Questions

A 25-year, $1,000 par value bond has an 15% annual payment coupon. The bond currently sells for $905. If the yield to maturity remains at its current rate, what will the price be 5 years from now?
A977.20
B907.41
C930.11
D984.19
E906.86

Answers

The future price of the bond after 5 years will be approximately $901.49. None of the given options matches this value exactly, but the closest option is B. 907.41.

To determine the future price of the bond, we need to calculate the yield to maturity (YTM) and use it to discount the future cash flows. Given that the bond has a 15% annual payment coupon and a par value of $1,000, it means it pays $150 annually ($1,000 x 0.15).

To calculate the yield to maturity (YTM), we can use the current price of $905. The YTM is the discount rate that equates the present value of the bond's cash flows to its current price.

Using a financial calculator or Excel, we can find that the YTM for this bond is approximately 17.12%.

Now, let's calculate the future price of the bond after 5 years using the YTM:

Future price = (Future coupon payments + Future par value) / (1 + YTM)ⁿ

where:

Future coupon payments = Coupon payment x (1 + YTM)ⁿFuture par value = Par value / (1 + YTM)ⁿn = number of years

Plugging in the values:

Future coupon payments = $150 x (1 + 0.1712)^5 = $317.86

Future par value = $1,000 / (1 + 0.1712)^5 = $584.22

Future price = ($317.86 + $584.22) / (1 + 0.1712)⁵ = $901.49

Therefore, option B. 907.41 is correct.

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safeco inc. has no debt, and maintains a policy of holding $10 million in excess cash reserves, invested in risk-free treasury securities. if safeco pays a corporate tax rate of 21%, what is the cost of permanently maintaining this $10 million reserve? (hint: what is the present value of the additional taxes that safeco will pay?)

Answers

The cost of permanently maintaining the $10 million reserve that is the present value of the additional taxes that Safeco will pay is -$2.1 million.

The present value will remain negative as long as the interest rate remains positive. (Interest rates are without exception always positive).

It can be defined as the current value of future or upcoming cash flows of an investment.

The present value which in this problem represents the cost of permanently maintaining the $10 million reserve can be determined using the formula;

PV = Tc × D

Here,

D = -$10 million (negative debt)

Tc = 21% = 21 ÷ 100 = 0.21

PV = 0.21 (-10 million) = -2100000 = -2.1 million

This is the present value of the additional taxes that Safeco will pay.

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what are the pros and cons of going through economic transition from a centrally planned to a mixed economy

Answers

Answer:

There are benefits and drawbacks to command economy structures. Command economy advantages include low levels of inequality and unemployment, and the common good replacing profit as the primary incentive of production. Command economy disadvantages include lack of competition and lack of efficiency.

Explanation:

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the factors most responsible for forecasts of the u.s. government debt spiraling out of control in the next half century are the projected:

Answers

The factors most responsible for forecasts of the U.S. government debt spiraling out of control in the next half century are the projected aging of the US population.

President Barack Obama established a bipartisan group in 2010 at the height of public debt and deficit worries. The commission's mandate was to stabilize American fiscal policy.

Containing rising health care and pension costs as America's population ages was essential to achieving this. The resulting "Simpson-Bowles" proposal sought to reduce America's debt-to-gdp ratio to roughly 66% by 2020.

A "alternative fiscal scenario" that was prepared by pessimistic staff at the Congressional Budget Office (cbo) demonstrated a "clear threat" of a fiscal disaster if corrective measures were not taken. According to it, by 2022, the debt will be 95% of the GDP. This year's actual percentage will be close to 98%.

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PLS NEED HELP IM BEHIND BAD

PLS NEED HELP IM BEHIND BAD
PLS NEED HELP IM BEHIND BAD
PLS NEED HELP IM BEHIND BAD
PLS NEED HELP IM BEHIND BAD
PLS NEED HELP IM BEHIND BAD

Answers

Answer:

The first answer

Explanation:

Just took it

what are creative unique products example flying water bottle plz don’t give me actual already made products

Answers

creative products? let’s see maybe like moving or like robotic lamps?

Bart, Inc., a newly organized corporation, uses the equity method of accounting for its 30% investment in Rex Co.'s common stock. During 20X5, Rex paid dividends of $300,000 and reported earnings of $900,000. In addition: The dividends received from Rex are eligible for the 80% dividends-received deduction. All the undistributed earnings of Rex will be distributed in future years. There are no other temporary differences. Bart's 20X5 income tax rate is 30%. The enacted income tax rate after 20X5 is 25%. In Bart's December 31, 20X5 balance sheet, the deferred income tax liability should be

Answers

Answer:

The right answer is "$9,000". A further explanation is given below.

Explanation:

The given values are:

Rex paid dividends,

= $300,000

Reported earnings,

= $900,000

Investment,

= 30%

Taxable rate applicable,

= 25%

Now,

Throughout the future years, the amount of dividends taxable will be:

= \((900,000 - 300,000)\times 30 \ percent\)

= \(180,000\) ($)

Dividends received deduction will be:

= \(180,000\times 80 \ percent\)

= \(144,000\) ($)

then,

Net taxable dividend will be:

= \(180,000-144,000\)

= \(36,000\)

hence,

Deferred tax liability will be:

= \(36,000\times 25 \ percent\)

= \(9,000\) ($)

2. If changes happen during September or October, which expenses will you be able to change most easily? Give an example of how you could make a change. (5 points)

Answers

The correct answer to this open question is the following.

Although the question does not provide any context, references, or give options, we can say that if changes happen during September or October, the expenses you will be able to change most easily are according with the provisions projected in the annual plan, the budget, compared with the monthly expenses.

That is why a company has to elaborate on a good financial plan and overseeing the projections and true sales of the marketing and sales plan. This is important to take the proper control of expenses and revenues. Depending on the volume of sales during September and October, you can decide what kind of changes or adjustments to make in the following months.

Answer:

I would be able to change the variable expenses most easily. Such as food, clothing, and discretionary spending.

I could make the change by

Budgeting in October:

food from spending -$70 back to -$60

cut clothes off since I bought some already from -$40 to $0

budget my discretionary spending from -$60 back to -$40

This would increase my savings to $230

To avoid debt, a new business owner should have enough projected revenue to cover expences for the first

A) 6 months
B) year
C) 2 years
D) 5 years

⚠️THIS IS FOR SCHOOL. NO TROLL ANSWERS OR LESS YOU WILL BE REPORTED.⚠️​

Answers

Answer:

b) a year

Explanation:

What is the current price of aluminium per pound?

Answers

Answer:

This often depends on what country or state you are currently in.

Explanation:

For example, in America, the price per pound of aluminum is currently at $1.18.

At this time, a pound of aluminum costs $2.56 USD.

What is the highest price for aluminum?

According to past records, aluminum reached its peak in March 2022 at 4103. The historical chart, data, and predictions for aluminum were last updated in January 2023.

Why is aluminum so expensive?

Aluminum production is a highly energy-sensitive process. Fuel prices reached record highs due to the Russian-Ukrainian war, which caused smelting operations in significant enterprises to be disrupted.

Aluminum prices had a significant comeback in 2021 at the same time when economies began to open up following the Covid-19 lockdowns. China, which produced half of the world's aluminum in 2020, controlled the industrial metal's price movement during the year.

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Cintas serves Fidelity Investment offices throughout the United States with first aid cabinets that are stocked with bandages, ointments, burn care, and single-dose tablets for pain relief. Fidelity can manage its orders through a personalized company website. The office manager at one Fidelity location logs in to the website and places their usual order. This is an example of a _______.
a. revised buy.
b. modified rebuy
c. new buy.
d. straight rebuy.

Answers

This above scenario is an example of a modified rebuy.

What is a modified buying decision?

The modified rebuy is known to be a term that connote a business buying scenario in which the buyer is known to wants to change product specifications, prices, terms, or suppliers.

It is known as a buying situation where people or organization buys goods that have been purchased before but alters either the supplier or other element.

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Exam Instructions
Question 3 of 16 :
Select the best answer for the question.
3. From the list below, select the business in the retail industry.
O A. City Park
O B. Doctor's office
O C. Department store
O D. Car Repair Shop

Answers

Answer:

the answer is C. department store

15. The word tourism first referred to which of the following? (1 point)
Oa theatrical voyage
Oa ship used by pirates in the Caribbean
O a traditional Austrian dance
O a gift given to a hostess

Answers

The word tourism was first referred to as a theatrical voyage. So, option (a) or (i): theatrical voyage is the correct answer.

Why is tourism referred to as a theatrical voyage?

Many tourist places in China have quickly established theatrical performances; yet, little research has been done in this crucial field.

The tour de France, a great tour, conducted by young nobility during the 16th and 18th centuries, was an early form and predecessor of modern tourism.

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Indicate what impact the following transactions would have on the accounting equation, Assets = Liabilities + Equity. Transaction impact table Impact 1 Impact 2 Paid monthly note payment to bank Sold inventory on account Bought supplies, to be paid for next month Received cash from sales this month Paid for inventory purchased on account last month

Answers

Answer:

The impact of the transactions on the accounting equation, Assets = Liabilities + Equity, is as follows:

Paid monthly note payment to bank:

Impact 1: Assets (Cash) decreases

Impact 2: Liabilities (Bank Loan) decreases

Sold inventory on account:

Impact 1: Assets (Accounts Receivable) increases

Impact 2: Equity (Revenue) increases

Bought supplies, to be paid for next month:

Impact 1: Assets (Supplies) increases

Impact 2: Liabilities (Accounts Payable) increases

Received cash from sales this month:

Impact 1: Assets (Cash) increases

Impact 2: Equity (Revenue) increases

Paid for inventory purchased on account last month:

Impact 1: Assets (Cash) decreases

Impact 2: Liabilities (Accounts Payable) decreases

It is important to note that for each transaction, one side of the equation must increase and the other side must decrease in order to keep the equation in balance.

Explanation:

T F Credit reports are issued monthly, so you know how much money topay toward your credit card bill.

Answers

Answer:

False

Explanation:

A financial statement can be defined as a document used for the formal communication or disclosure of financial information and statements to present and potential users such as investors and creditors. These includes balance sheet, statement of retained earnings and income statement.

Generally, financial statements are issued to recipients on a monthly basis.

A credit report can be defined as a financial document that comprises of detailed information about a person's credit history or activities with respect to borrowed money (loans). It is usually prepared by a credit bureau.

A credit score can be defined as a numerical expression between 300 - 850 that represents an individual's financial history and credit worthiness. Therefore, a credit score determines the ability of a borrower to obtain a loan from a lender.

This ultimately implies that, the higher your credit score, the higher and better it is to obtain a loan from a potential lender.

In conclusion, credit reports are issued to a customer on request and at any given time, so he or she knows how much money to pay toward your credit card bill.

Calculate the payout ratio, earnings per share, and return on common stockholders’ equity. (Round earning per share to 2 decimal places, e.g. $2.66 and all other answers to 1 decimal place. 17.5%.) Payout ratio % Earnings per share $ Return on common stockholders’ equity %

Answers

Answer:

Payout Ratio 69.9%

Earning Per Share $0.94

Return on the Common Stockholder Equity 12.6%

Explanations:-

Monty Corp

1. Calculation for Payout Ratio

Using this formula

Payout Ratio = Dividend Declared/Net Income

Dividend Declared = $0.70 * Shares outstanding

Shares outstanding:-

Opening ($837,500/$3) =279,167

Issued on Feb 1 5310

Treasury (4900)

Purchased Treasury on March 20 (1300)

Shares outstanding 278,277

Dividend Declared = 278277 * $0.70

= $194,793.90

Net Income = $278600

Payout Ratio = $194793.90/$278600 = 69.9%

Therefore Payout Ratio will be 69.9%

2. Calculation for Earning Per Share

Using this formula

Earning Per share =(Net Income – Preference Dividend)/Avg Common Stock shares

Net Income = $2786,00

Preference Dividend = $294,000 * 6%

= $17640

Average Common Stock shares = (Beginning Shares outstanding + Ending Shares outstanding)/2

Beginning Shares outstanding = 279,167 – 4,900 = 274,267

Ending Shares outstanding = 278,277

Average = (274,267 + 278,277)/2 = 276,272

Earning Per Share= ($278,600 - $17,640)/276,272 = $0.94

Therefore Earning per share will be $0.94

3. Calculation for Return on Common Stockholders Equity

Using this formula

Return on Common Stockholder Equity =

(Net Income – Preference Dividend)/Avg Common Stockholder Equity

Average Common Stockholder Equity = (Beginning Stockholder Equity + Ending Stockholder Equity)/2

Beginning Stockholder Equity will be:

Beginning common stock $837,500

Beginning Paid-in Capital in Excess of Stated Value on Common Stock $536,000

Beginning Retained Earnings $695,000

Treasury Stock($39,200)

Beginning Stockholder Equity $2,029,300

Ending Stockholder Equity will be:

Ending common stock ($837,500 + [5,310*$3])

=$853,430

Ending Paid-in Capital in Excess of Stated Value on Common Stock ($536,000 + [5,310 * $4]) =$557,240

Ending Retained Earnings $761,166.10

Treasury Stock ($39,200 + [1300 * $9])

=($50900)

Beginning Stockholder Equity$2,120,936.10

Calculation for Ending Retained Earnings

Using this formula

Ending Retained Earnings = Beginning Retained Earnings + Net Income – Dividend on common & Preferred stock

= $695, 000 + $278,600 – ($194,793.90 + $17,640)

= $761,166.10

Average Common Stockholder Equity = ($2,029,300 + $2,120,936.10)/2 = $2,075,118.05

Return on Common Stockholder Equity = ($278,600 - $176,40)/$2,075,118.05

Return on Common Stockholder Equity = 12.6%

Therefore the Payout Ratio is 69.9%

Earning Per Share is $0.94

Return on Common Stockholder Equity is 12.6%

Answer 1:

                                The Calculation for Payout Ratio  

Formula :

Payout Ratio = Dividend Declared/Net Income

Dividend Declared = $0.70 * Shares outstanding

Shares outstanding :

Opening shares  (837,500/3)$ = $279,167

Issued on Feb= $1 5310

Treasury=4900

Purchased Treasury on March 20=1300

Shares outstanding=$278,277

Dividend Declared = 278277 * $0.70 = $194,793.90

Net Income = $278600

Payout Ratio = $194793.90/$278600 = 69.9%

Thus, Payout Ratio will be 69.9%

Answer 2:

                        The Calculation for Earning Per Share

Formula :

Earnings Per Share (EPS) = (Net Income – Preference Dividend)/Avg Common Stock shares

Net Income = $2786,00  

Preference Dividend = $294,000 * 6% = $17640

Average Common Stock shares = (Beginning Shares outstanding + Ending Shares outstanding)/2

Beginning Shares outstanding = 279,167 – 4,900 = 274,267 Ending Shares outstanding = 278,277

Average = (274,267 + 278,277)/2 = 276,272

Earning Per Share= ($278,600 - $17,640)/276,272 = $0.94

Thus, Earning per share is $0.94

Answer 3:

                Calculation for Return on Common Stockholders Equity

Formula:

Return on Common Stockholder Equity =  (Net Income – Preference Dividend)/Avg Common Stockholder Equity

Average Common Stockholder Equity = (Beginning Stockholder Equity + Ending Stockholder Equity)/2

Beginning Stockholder Equity :

Beginning common stock= $837,500

Beginning Paid-in Capital in Excess of Stated Value on Common Stock =$536,000

Beginning Retained Earnings =$695,000

Treasury Stock=$39,200

Beginning Stockholder Equity= $2,029,300

Ending Stockholder Equity will be:

Ending common stock= ($837,500 + [5,310*$3])  =$853,430

Ending Paid-in Capital in Excess of Stated Value on Common Stock =($536,000 + [5,310 * $4]) =$557,240

Ending Retained Earnings =$761,166.10

Treasury Stock= $39,200 + [1300 * $9] =($50900)

Beginning Stockholder Equity=$2,120,936.10

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Described below are three independent and unrelated situations involving accounting changes. Each change occurs during 2021 before any adjusting entries or closing entries are prepared. On December 30, 2017, Rival Industries acquired its office building at a cost of $10,000,000. It has been depreciated on a straight-line basis assuming a useful life of 40 years and no residual value. Early in 2021, the estimate of useful life was revised to 28 years in total with no change in residual value. At the beginning of 2017, the Hoffman Group purchased office equipment at a cost of $330,000. Its useful life was estimated to be 10 years with no residual value. The equipment has been depreciated by the straight-line method. On January 1, 2021, the company changed to the double-declining-balance method. At the beginning of 2021, Jantzen Specialties, which uses the straight-line method, changed to the double-declining-balance method for newly acquired vehicles. The change decreased current year net income by $445,000.

Required:

Identify the type of change. Prepare any journal entry necessary as a direct result of the change as well as any adjusting entry for 2021 related to the situation described. (Ignore income tax effects.)

Answers

1. Rival Industries: Change in estimate. Entry: Adjust Depreciation Expense and Accumulated Depreciation by $250,000. 2. Hoffman Group: Change in policy. Entry: Adjust Depreciation Expense and Accumulated Depreciation by $33,000. 3. Jantzen Specialties: Change in policy for new vehicles. Entry: Adjust Depreciation Expense and Accumulated Depreciation by $445,000.              

For each situation described:

1. Rival Industries:

Type of change: Change in accounting estimate (useful life).

Journal entry:

No journal entry is required as the change in estimate does not require retrospective adjustment. However, an adjusting entry is needed for 2021:

Depreciation Expense (Income Statement)   $250,000

Accumulated Depreciation (Balance Sheet)   $250,000

2. Hoffman Group:

Type of change: Change in accounting policy (depreciation method).

Journal entry:

No journal entry is required for the change in accounting policy. However, an adjusting entry is needed for 2021:

Depreciation Expense (Income Statement)   $33,000

Accumulated Depreciation (Balance Sheet)   $33,000

3. Jantzen Specialties:

Type of change: Change in accounting policy (depreciation method) for newly acquired vehicles.

Journal entry:

No journal entry is required for the change in accounting policy. However, an adjusting entry is needed for 2021:

Depreciation Expense (Income Statement)   $445,000

Accumulated Depreciation (Balance Sheet)   $445,000

Note: The above journal entries are made based on the information provided in the question and assuming no income tax effects. It is important to consult accounting standards and specific circumstances to determine the appropriate journal entries.

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Patient satisfaction with va care and services is often reported to be at what percentage?.

Answers

Your highness, caught you sippin' on lean

Reminds me that's how it's supposed to be

Explanation:

Which management function is involved with monitoring performance, comparing it with goals, and taking corrective action as needed?.

Answers

Controlling management function is involved with monitoring performance, comparing it with goals, and taking corrective action as needed. Read below about management.

What is Management?

Management refers to the process of dealing with or controlling things or people. Management is also the administration of an organization, whether it is a business, a non-profit organization, or a government body. It is the art and science of managing resources of the business.

Therefore, the correct answer is control management.

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stewart county school district is about to raise funds for a new school through a bond issue. the plan is to raise $3,475,000 with a 3.15% coupon, 12-year bond. the underwriter indicates the bonds will be sold at a price of $100.65 per $100. the yield to maturity on the bond is:

Answers

The calculated yield to maturity is approximately -0.9643 or -96.43%.

To calculate the yield to maturity (YTM) on a bond, we need to consider the coupon rate, bond price, and the bond's remaining term.

Given:

Face Value of the Bond (FV) = $100Coupon Rate = 3.15%Bond Price = $100.65Remaining Term = 12 years

To calculate the yield to maturity, we can use financial functions or approximation methods. Here, we'll use an approximation method:

Step 1: Calculate the annual coupon payment:

Coupon Payment = Coupon Rate * Face ValueCoupon Payment = 3.15% * $100Coupon Payment = $3.15

Step 2: Calculate the total cash inflow from the bond over its remaining term:

Total Cash Inflow = (Annual Coupon Payment * Number of Years) + Face ValueTotal Cash Inflow = ($3.15 * 12) + $100Total Cash Inflow = $37.80 + $100Total Cash Inflow = $137.80

Step 3: Calculate the yield to maturity using the bond price and total cash inflow:

\(YTM = (Total Cash Inflow / Bond Price) ^{ (1 / Remaining Years) - 1\)\(YTM = ($137.80 / $100.65) ^ {(1 / 12) - 1\)\(YTM = 1.3708 ^ {(1 / 12) - 1\)YTM = 0.0357 - 1YTM = -0.9643

The calculated yield to maturity is approximately -0.9643 or -96.43%.

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Which one of the following statements is correct?

a. Cost can be controlled only by those who are managing the project

b. Cost can be controlled only by those who are managing the project risk

c. Cost can be controlled only by those who are doing the spending

d. Cost can be controlled only by those who are doing the work

Answers

The correct statement is "Cost can be controlled only by those who are doing the work." Option D.

This statement reflects the principle of responsibility assignment in project management, according to which each team member is accountable for their task or activities.

Cost management is a crucial aspect of project management, which requires the involvement of the entire project team, not just the managers.

Therefore, team members who are responsible for carrying out the activities are required to be cautious in their approach to carrying out the assigned task to control the cost and keep it within the allocated budget. It is essential for them to understand the scope of the work and execute it effectively and efficiently.

In conclusion, the statement "Cost can be controlled only by those who are doing the work" highlights the importance of assigning responsibility and accountability to the team members to ensure the cost of the project does not exceed the allocated budget.

Hence, the right answer is option D.

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a circus’s goal of redesigning the circus experience is being completed through the coordination of many marketing activities, such as value pricing, a product that includes exciting performances, tent venue locations, and promotion. these activities make up the for the circuses. a. value of marketing b. marketing environment c. target market d. marketing mix

Answers

Given the information provided above, the business operations described make up the "marketing mix" of the circuses. (Option D).

What is Marketing Mix?

The word "marketing mix" refers to a business foundation model that has historically been built on product, price, place, and promotion. The marketing mix is defined as "the set of marketing instruments used by the organization to pursue its marketing objectives in the target market."

The marketing mix is a method for examining the many aspects of promoting a brand and its products. It provides general rules for putting the right things in the right place, at the right time, and at the appropriate price.

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It is common practice among currency traders worldwide to both price and trade currencies against the U.S. dollar. Consider a currency dealer who makes a market in 5 currencies against the dollar. If he were to supply quotes for each currency in terms of all of the others, how many quotes would he have to provide?

A) 36.

B) 30.

C) 60.

D) 120.

E) none of the options.

Answers

30 bc i did this question alread

what are the two advantages and two disadvantages in breakevean analysis​

Answers

Answer: See explanation

Explanation:

Break-even analysis tells a business about the number of products which must be sold in order to cover the costs of production.

Advantages of break even analysis include:

1. It enables a business organization to be able to measure the profit and the losses at different stages of the production and sales.

2. It is used to forecast the effect of the changes in the sales prices.

3. It also vital in analyzing the relationship that exist between the fixed cost and the variable costs.

Disadvantages of break even analysis include:

1. It assumes that the sales prices are constant at the levels of output.

2. It also assumes that both the sales and the production are the same.

3. It can be time consuming during its preparation.

Consider five individuals with different occupations. Allen prepares taxes wants ribs Betty does dry cleaning wants computer fixed Calvin fixes computers wants bread Diedre bakes bread wants taxes prepared Eric barbecues ribs wants dry cleaning If this economy has money a. Allen will buy from Betty b. Betty will buy from Calvin c. Eric will buy from Allen d. None of the above are correct.

Answers

Answer:

D. None of the above are correct.

In trading account freight belongs to which side debit or credit?

Answers

Answer:

Explanation:

In trading account, freight belongs to the debit side. It is a direct expenses on purchases and manufacturing operation

Freight is the cost incurred in transporting an item to its final destination when the terms are FOB shipping point. It is treated as part of the cost of merchandise and recorded in the inventory if the merchandise has not been sold.

Increase  in the cost of freight are recorded on the debit side while decrease are recorded on the credit side.

Which of the following best describes the purpose of an Egyptian pyramid?

A. the pharaoh's home
B. a monument to honor the gods
C. the pharaoh's burial chamber
D. a storage place for the pharaoh's treasures

Answers

Answer:

C. The pharaoh's burial chamber

Explanation:

The purpose of the Pyramids where for when the Pharaoh were to die they would be wrapped and put in a coffin and placed in the BURIAL CHAMBER will lots of treasures for the afterlife.

According to Goldratt: Two activities scheduled to be carried out sequentially and using the same scarce resource benefit from having the same project manager. Two activities scheduled to be carried out in parallel and using the same scarce resource are independent. Two activities scheduled to be carried out in parallel and using the same scarce resource are not independent. Two activities scheduled to be carried out sequentially and using the same scarce resource require different project managers.

Answers

Answer:

Two activities scheduled to be carried out in parallel and using the same scarce resource are independent.

Explanation:

An Israeli physicist named, Eliyahu M. Goldratt developed the Critical Chain Project Management (CCPM) and introduced it in his book "Critical Chain" in 1997.

The CCPM is a project management methodology used by managers to better manage a project. The CCPM ensures that the project plan is feasible and immune from any uncertainty or statistical fluctuations.

In the CCPM activity network, there are no milestones and all non-critical activities are performed as late as possible.

CCPM adopts the use of drum buffers, so as to ensure extra safety is applied to a project immediately before using constrained resource.

According to Goldratt, two activities scheduled to be carried out in parallel and using the same scarce resource are independent.

When does information become as liability for an organization

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Answer:

after college hope it help :)

Explanation:

Answer:

when it is not managed properly

Explanation:

PLATO

HAS ANYONE TAKEN THE 2020 ALGEBRA 1 EOC IN FLORIDA THIS YEAR?? IF U HAVE PLZ TELL ME WHAT QUESTIONS THEY ASKED U

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Answer:

They just ask you what you have learned in your previous math courses.

Explanation:

Other Questions
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