when $1 million is deposited at a bank, the required reserve ratio is 20 percent, and the bank chooses not to hold any excess reserves but instead makes loans, then in the bank's final balance sheet,a.the assets at the bank increase by $200,000.b.reserves increase by $200,000c.the liabilities of the bank increase by $200,000d.all of the above occur

Answers

Answer 1

when $1 million is deposited at a bank, the liabilities of the bank increase by $1,000,000.

What are liabilities?

In financial accounting, a liability is defined as the future sacrifices of economic benefits that the entity is obliged to make to other entities as a result of past transactions or other past events, the settlement of which may result in the transfer or use of assets, provision of services or other yielding of economic benefits in the future.  Liabilities in financial accounting need not be legally enforceable; but can be based on equitable obligations or constructive obligations. An equitable obligation is a duty based on ethical or moral considerations. A constructive obligation is an obligation that is implied by a set of circumstances in a particular situation, as opposed to a contractually based obligation.

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Related Questions

After 160 customer reviews for the hotel, 65% were Excellent
e. How many reviews of the 160 were Excellent?

Answers

Answer: 104 reviews

Explanation:

Number of customers reviews = 160

Percentage of customer reviews that were excellent= 65%

.

Number of customer reviews that were excellent will be:

= 65% × 160

= 65/100 × 160

= 0.65 × 160

= 104

104 reviews were excellent.

Your working with an experienced acciate

Answers

When working with an experienced associate who insists on completing a task a certain way, but you know there is a more efficient method, it's important to approach the situation with respect and open-mindedness. Here are a few steps you can take:

Listen to their reasoning: Start by asking your associate to explain their thought process behind their preferred method. This shows that you value their opinion and expertise, and it may also provide insights that you hadn't considered.

Present your alternative method: Once you've heard your associate's perspective, share your own. Explain the benefits of your method and why you believe it would be more efficient.

Collaborate on a solution: Instead of approaching the situation as if there's only one right way to do things, try to find a middle ground that incorporates the best aspects of both methods. This may involve some compromise, but it can lead to a better overall solution.

Test both methods: If possible, test both methods to see which one is truly more efficient. This can be done by tracking the time it takes to complete the task, the accuracy of the results, or any other relevant metrics.

Respect their expertise: Even if your method ends up being more efficient, it's important to acknowledge your associate's experience and knowledge. Thank them for their input and let them know that you value their expertise.

By following these steps, you can work collaboratively with your associate to find the best possible solution while still respecting their experience and knowledge.

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You are working with an experienced associate. He insists on completing a task a certain way, but you know there is a more efficient method.

What are experiences best described as?

Answers

Experiences is best described as the collection of things a person has done. Explanation: Experience is knowledge in a particular job or activity that you have gained because you have done that job or activity for a long time.

Explain the role audit committee plays in the company​

Answers

Answer:

The primary purpose of a company's audit committee is to provide oversight of the financial reporting process, the audit process, the company's system of internal controls and compliance with laws and regulations. ... As such, CPAs report directly to the audit committee, not management.

Hope this helps.☝

Which of the following is a significant factor in how willing creditors will be to
extend credit to an individual?
A. The individual's history of paying back previous credit
B. The individual's general appearance
C. The individual's family situation
D. The individual's education level

Answers

Answer:A

Explanation:

The individual's history of paying back previous credit is a significant factor in how willing creditors will be to extend credit to an individual. Thus, option A is correct.

What is Credit?

The capacity to obtain products or services or take loans only with the idea that pays for them afterward is known as credit. Credit is generally given to a person for a fixed period of time that is previously decided at the time of giving money.

This means that the person makes the decision of returning depending on the flow of the social class, which means that the money received by one is given to another person and the cycle goes on. 

In the money market, a person is only given the amount if that is known that the amount will be back at the desired time. Therefore, option A is the correct option.

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What is the craziest drink you've gotten at starbucks or dunkin? Tell me the size, how many pumps of syrups (if you get any) and how many scoops of inclusions (if you get any). Tell me everything and be very specific!

Answers

Peppermint Frappé ( Seasonal ) with 17 pumps of peppermint !!!

In 2000, Eric Baker and Jeff Fluhr came up with a concept that would do away with scalping if they had their wish, and everyone used StubHub. The Internet company brings people who want tickets and people who have tickets that they are not using together. The company has assisted in the sale of tens of millions dollars worth of tickets annually and is always trying to sell more. It charges a small fee for its assistance. Baker and Fluhr would be classified as:

Answers

The aim of any business entrepreneur is to have increase or expansion in their business. This growth can only come by careful planning and introduction of new concept into the business. Baker and Fluhr therefore would be classified as growth-oriented entrepreneurs

Entrepreneurship entails having a kind of mindset that is usually focus on any opportunities that may come our way and also been growth oriented. It is simply a set of behaviors.

A growth-oriented entrepreneur is one who is focused on making growth in terms of profits and expansion in business.

Conclusively we can therefore say they are both growth-oriented entrepreneurs

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What is the total utility at 4 units and the marginal utility when jack goes from consuming three pop tarts to four pop tarts? quantity marginal utility 1 20 2 15 3 10 4 5 5 0 6 -5

Answers

The total utility is the total satisfaction that an individual will receive in a given time period. The marginal utility is the additional satisfaction that an individual will receive from consuming one more unit of a good or service.

In this scenario, when Jack goes from consuming three pop tarts to four pop tarts, his marginal utility will be 3 because he received 3 units of marginal utility from the three pop tarts he consumed.

What is the law of diminishing marginal utility?

The law of diminishing marginal utility is a principle in economics that states that the additional satisfaction from an increase in consumption decreases as consumption increases.

The law of diminishing marginal utility is one of the most important principles in economics. It states that the first unit of a good or service consumed will provide greater satisfaction than the second, third, and so on.

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Which form does a person complete to demonstrate his or her legal ability to work and pay taxes on income?
A. W-2
B. I-9
C. 1040
D. W-4

Need fast I’ll give brain..

Which form does a person complete to demonstrate his or her legal ability to work and pay taxes on income?A.

Answers

Answer:

I-9

Explanation:

A P E X

A  person complete to demonstrate his or her legal ability to work and pay taxes on income with the help of I-9 form.

What is  I-9 form?

I-9 form is a form that is used by the employers. This can use I-9 to check who is permitted to work in the United States.

Every new employee employed after November 6, 1986, must fill out a Form I-9. With the use of the I-9 form, a person can demonstrate his or her legal ability to work and pay income taxes.

Therefore, option B is correct.

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Agthia Group has found that its cost of ordinary shares capital is 12 per cent and its cost of debt capital is 15 per cent. If the firm is financed with $7,500 of ordinary shares (market value) and $2,500 of debt, then what is the after-tax weighted average cost of capital for Agthia's if it is subject to a 16 per cent marginal tax rate?

Answers

The after-tax weighted average cost of capital (WACC) can be calculated by considering the proportions of equity and debt in the capital structure and applying the respective after-tax costs of each component.

The after-tax WACC for Agthia Group, subject to a 16% marginal tax rate, would be the sum of $675 (0.75 * 0.12 * $7,500) and $78.75 (0.25 * 0.126 * $2,500), resulting in a total after-tax WACC of $753.75.

To calculate the after-tax WACC for Agthia Group, follow these steps:

Calculate the weighted cost of equity:

Multiply the market value of equity ($7,500) by the cost of equity (12%).

This gives the cost of the equity component as $900.

Calculate the weighted cost of debt:

Multiply the market value of debt ($2,500) by the cost of debt (15%).

This gives the cost of debt component as $375.

Determine the total market value of the firm's capital structure:

Add the market value of equity ($7,500) and the market value of debt ($2,500).

This gives the total market value of $10,000.

Calculate the after-tax cost of debt:

Multiply the cost of debt (15%) by the complement of the tax rate (1 - 0.16).

This gives the after-tax cost of debt as 12.6%.

Calculate the weights of equity and debt:

Divide the market value of equity ($7,500) by the total market value of the capital structure ($10,000) to get the equity weight of 0.75.

Divide the market value of debt ($2,500) by the total market value of the capital structure ($10,000) to get the debt weight of 0.25.

Calculate the after-tax WACC:

Multiply the weight of equity (0.75) by the cost of equity (12%).

Multiply the weight of debt (0.25) by the after-tax cost of debt (12.6%).

Sum up these two values to get the after-tax WACC.

In this case, the after-tax WACC for Agthia Group, subject to a 16% marginal tax rate, would be the sum of $675 (0.75 * 0.12 * $7,500) and $78.75 (0.25 * 0.126 * $2,500), resulting in a total after-tax WACC of $753.75.

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An increase in expected future output while holding today's output constant would:_________

Answers

An increase in expected future output while holding today's output constant would result in an expansion of production capacity. This means that the economy is anticipating higher levels of output in the future without changing the current output levels.

The increase in expected future output indicates a positive outlook for the economy, suggesting that businesses are forecasting higher demand for goods and services. To meet this expected increase in demand, firms may invest in expanding their production capabilities, such as acquiring new machinery, hiring additional workers, or enhancing infrastructure.

By increasing production capacity, firms can better respond to the anticipated rise in future output. This can have positive effects on economic growth, employment levels, and overall productivity. Additionally, it can create opportunities for businesses to take advantage of economies of scale, leading to potential cost reductions and improved competitiveness.

In summary, an increase in expected future output, while keeping today's output constant, would necessitate expanding production capacity to accommodate the anticipated higher levels of demand.

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Diversification allows investors to maximize returns by keeping much of their portfolio in a single asset.
A. True
B. False

Answers

By retaining a large portion of their portfolio in a single asset, diversification enables investors to optimize profits.False.

What advantages does investor diversification offer?

By diversifying your assets, it is one strategy to achieve risk and reward balance in your investing portfolio. Spreading your investments among many asset classes limits your exposure to any one asset type. This is known as diversification. Over time, this technique should assist in lowering the volatility of your portfolio.

How can an investor make the most of the advantages of diversification?

By distributing your investments among a variety of assets, you reduce the risk that one bad occurrence could wipe out your entire portfolio. Instead, your portfolio is dispersed over many asset classes and business entities.

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What is a schema? Draw/illustrate a schema of ONE of you favourite brand and discuss
TWO reasons a schema like that is important to marketers?

Answers

A schema, in the context of marketing and consumer behavior, refers to a mental framework or structure that individuals use to organize and interpret information about a particular concept or brand. It is a cognitive representation that helps individuals make sense of the world and influences their perceptions, beliefs, and behaviors.

Here is an example of a schema for one of my favorite brands, Nike:

```

[Logo]

 |

[Brand Identity]

 |

[Product Range]

 |

[Quality and Performance]

 |

[Endorsements and Sponsorships]

 |

[Emotional Appeal]

 |

[Consumer Experiences]

 |

[Social Responsibility]

```

In this schema, each component represents a key aspect of Nike's brand image and positioning. Let's discuss two reasons why a schema like this is important to marketers:

1. Brand Consistency: A schema helps maintain brand consistency by organizing and reinforcing the key elements that define the brand. By consistently delivering and promoting these elements across various touchpoints, marketers can shape and strengthen consumers' schema of the brand. For example, Nike's consistent use of its iconic logo, focus on high-quality products, and association with sports celebrities contribute to a strong and consistent brand image.

2. Differentiation and Positioning: A schema allows marketers to differentiate their brand from competitors and establish a unique positioning in consumers' minds. By emphasizing specific attributes or associations in the schema, marketers can shape consumers' perceptions and create a distinctive brand image. For instance, Nike's schema includes endorsements and sponsorships, which position the brand as an authority in sports and athleticism, setting it apart from other athletic footwear and apparel brands.

Overall, a schema serves as a mental framework that helps marketers effectively communicate and shape consumers' perceptions of a brand. It enables brand consistency, differentiation, and positioning, which are essential for building a strong and favorable brand image in the minds of consumers.

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A new municipal bond issue is dated January 1st and pays interest each April 1st and Oct. 1st. An investor purchased bonds from the issuer with a Thursday, January 31st settlement date. How many days of accrued interest did the investor owe?
29
30
33
34

Answers

The investor owed 30 days of accrued interest.

To calculate the number of days of accrued interest, we need to consider the settlement date and the payment dates of the bond. The settlement date is January 31st, and the bond pays interest on April 1st and October 1st. Since there are 30 days in January, the investor holds the bond for the entire month of January, which counts as accrued interest.

Therefore, the investor owes 30 days of accrued interest.

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5.Is it easier for a few firm to enter the market under found in oligopolis competition or oligopolis? Why?

Answers

Answer: No, it is not easy for new firms to enter to market where there is oligopolis competition.

Explanation:

Oligopolis is a market condition in which few firms take the advantage to run their business and they do not allow small competitors to interfere and put barriers and obstacles for small competitors so that they cannot compete with them and do not earn anything. Those powerful competitors can make up the huge amount of profit. Also few sellers attain significant power in the market and prevent other.

B. Industria and Extractive Occupation can be grouped into Extractive, direct and indirect C Construction, Manufacturing D. Manufacturing, Commercial and direct​

Answers

Industrial and Extractive Occupation can be grouped into   option A. Extractive, direct, and indirect.

What is the Occupation  about?

Businesses and extractive occupations include the extraction of crude materials from nature. This incorporates businesses such as mining, oil and gas extraction, logging, as well as angling.

These businesses extract  assets from the environment and get ready them for assist handling or utilize in fabricating and other businesses. They are fundamental for giving the crude materials that back numerous other businesses and financial exercises.

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Alex's country was once communist, but now allows limited private ownership of companies, and lets market forces determine production and pricing decisions. what kinds of economy is alex living in?

Answers

Alex's country was once communist, but now allows limited private ownership of companies, and lets market forces determine production and pricing decision is the kind of 'Market Socialist' economy.

Market socialism, sometimes known as liberal socialism, is an economic system that strikes a balance between free enterprise and socialist planning. In this system, businesses are publicly owned, but output and consumption are determined by the market rather than by governmental planning.

In real life, Market socialism components have been present in a number of different economies. A version of market-based socialism, based on socially owned cooperatives, workers' self-management, and market allocation of capital, is usually regarded as having existed in the former Socialist Federal Republic of Yugoslavia.

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The GUI is an index used by the OS to manage computer files,
O False
O True

Answers

Answer: I think it's true

Most employers are required to withhold federal unemployment taxes from employee earnings.
a) true
b) false

Answers

It is wrong for most states to require companies to deduct federal unemployment taxes from employee paychecks.

Employment taxes must be withheld from employees by law-abiding employers. Federal income tax withholding, Social Security, and Medicare taxes are all included in employment taxes.

In general, employers are required to deduct Social Security and Medicare taxes from employees' paychecks and pay their portion of these taxes.

The following taxes are deducted from employees' paychecks: income tax, Social Security, and Medicare. Some taxpayers might also need to have money withheld for the Additional Medicare Tax. The details you provide on your Form W-4 to your employer will decide how much income tax withholding will be made from your salary.

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Time Remaining 23 minutes 29 seconds00:23:29 Item 1 Time Remaining 23 minutes 29 seconds00:23:29 If Jack earns an 8% after-tax rate of return, $10,000 received in three years is worth how much today (rounded)

Answers

The present value of $10,000 received in three years, assuming an 8% after-tax rate of return, is approximately $7,945 when rounded.

To calculate the present value of $10,000 received in three years, we need to discount the future value by the after-tax rate of return. Assuming an 8% after-tax rate of return, we can use the formula for the present value:

Present Value = Future Value / (1 + Rate)^n

Where:

Future Value is the amount to be received in the future ($10,000)

Rate is the after-tax rate of return (8% or 0.08)

n is the number of years (3)

Plugging in the values, we have:

Present Value = $10,000 / (1 + 0.08)^3

Calculating this, we get:

Present Value = $10,000 / (1.08)^3

Present Value = $10,000 / 1.2597

Present Value ≈ $7,945 (rounded)

Therefore, the present value of $10,000 received in three years, assuming an 8% after-tax rate of return, is approximately $7,945 when rounded.

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Imagine that you have no money and you have to leave home and live by yourself. Make a list of the ten most important things that you would take with you and explain why.

Answers

Answer:

food clothes water

Explanation:

their the basic needs of an individual

Purchasing Power Parity (either absolute or relative) is an accurate description of how Foreign Exchange (FX) markets interact with prices in the short run. (T/F)
(2)Fisher's real interest rate parity is generally a better approximation to reality than Fisher's nominal interest rate parity. (T/F)

Answers

1. Purchasing Power Parity (either absolute or relative) is an accurate description of how Foreign Exchange (FX) markets interact with prices in the short run. (T/F)True. Purchasing power parity (PPP) is an economic theory used to estimate the amount of adjustment required in the exchange rate between two currencies in order for the exchange.

According to PPP, foreign exchange (FX) markets interact with prices in the short run by ensuring that the exchange rate between two currencies is equal to the ratio of the two countries' price levels. The PPP theory states that, in the long run, the exchange rate should eventually equalize the purchasing power of the two currencies by adjusting the price level in each country.2. Fisher's real interest rate parity is generally a better approximation to reality than Fisher's nominal interest rate parity. (T/F)True. Fisher's Real Interest Rate Parity (RIRP) is generally considered a better approximation of reality than Fisher's Nominal Interest Rate Parity (NIRP). This is due to the fact that NIRP ignores the impact of inflation on the real interest rate and simply assumes that the nominal interest rate is equal to the expected inflation rate. RIRP, on the other hand, takes into account both inflation rates in two countries and states that the difference in real interest rates between two countries should be equal to the expected appreciation of the exchange rate. Therefore, Fisher's real interest rate parity is considered a better approximation to reality than Fisher's nominal interest rate parity.

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can someone please help me with this question?​

can someone please help me with this question?

Answers

Answer:

We can first assess the effects of each of the transactions on the balance cheat.

the a) transaction will reduce cash by $500, and reduce creditors by the same amount.

the b) transaction will increase cash by $300, and reduce debtors by the same amount.

the c) transaction will reduce cash by $1,000, and reduce the Loan from L. Stennett by the same amount.

Now we can list this effects.

Cash is reduced by $500 + $1,500 and increased by $300. The total net effect on cash is then a $1,200 decrease ($1,500 decrease + $300 increase).

All the other accounts have only one reduction, so we simply substract that figure from the balance sheet on the picture to obtain our new figures.

Now we can write the new balance sheet

Balance Sheet as at 10 April 2007

Assets

Buildings                $6,000

Motor Vehicle        $4,000

Stock of Goods      $2,000

Debtors                  $2,500 (-$300)

Cash at bank         $2,000 (-$1,200)

Total Assets           $16,500

Liabilities

Loan L. Stennet      $1,000 (-$1,000)

Creditors                 $1,100 (-$500)

Total Liabilities        $2,100

Capital                     $14,400

By the accounting equation, Capital + Liabilities = Assets, we see that it holds true: $14,400 + $2,100 = $16,500, so are figures are right.

agneta is getting a new dress to wear to her son's wedding. in terms of customer behavior, the step of evaluating alternatives would correspond to .

Answers

In the compensating model, the consumer makes a decision after carefully weighing all the features of a good or service (or benefits from a product or service).

What are some illustrations of compensatory techniques?

Making and keeping appointments at the same time, jotting down reminders for yourself, and maintaining a calendar are excellent compensatory strategies for impaired short-term memory and can help lessen the impact of these symptoms on everyday life.

What are the three payment methods?

Setting salary rates should take into account the following three compensation strategies: leading, lagging, and meeting the market.

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Select the correct answer.
The speed of a ship is given by , where d is the distance the ship travels in 3 hours. If the ship travels 48 miles in 3 hours, what is the speed of the ship?
A.
12 miles per hour
B.
16 miles per hour
C.
45 miles per hour
D.
51 miles per hour

Answers

The speed of the ship is B. 16 miles per hour

How to calculate the speed

Recall that

Speed= Distance/Time

Given that the distance= 48 miles

Time= 3 hours

The speed would be 48/3= 16 miles per hour

Therefore, option B is correct.


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Petty Cash is a liability with a normal debit balance.

True or false

Answers

True because it is a liability with a normal debit balance

Explain how the forms of demand supply will eliminate a market surplus

Answers

Answer and Explanation: 1

Answer and Explanation: 1A market surplus is when the quantity supplied of a good is greater than the quantity demanded. We can also say there is excess supply. This happens at a certain price that is above the market equilibrium which causes more of a product to be supplied than consumers are willing to buy. It is the opposite of a shortage.

Answer and Explanation: 1A market surplus is when the quantity supplied of a good is greater than the quantity demanded. We can also say there is excess supply. This happens at a certain price that is above the market equilibrium which causes more of a product to be supplied than consumers are willing to buy. It is the opposite of a shortage.The market attempts to resolve the surplus by pushing the price down until it is at its equilibrium. A lower price will reduce the quantity supplied and increase the quantity demanded.

Which type of estimating uses project characteristics in a mathematical model to estimate project costs

Answers

Parametric estimating is the type of estimating that uses project characteristics in a mathematical model to estimate project costs.

Parametric estimating involves identifying the key variables that impact the cost of a project, such as the size, complexity, and duration of the project, and using a statistical model to estimate the cost based on these variables. This method is typically used when there is historical data available on similar projects that can be used to develop the statistical model.

For example, if a construction company is building a new office building, it may use parametric estimating to estimate the cost of the project based on the size of the building, the number of floors, the type of materials to be used, and other project characteristics. The company would use historical data from similar projects to develop a statistical model that estimates the cost of the project based on these variables.

Parametric estimating can be a useful tool for estimating project costs, as it allows for a more accurate and objective estimate based on specific project characteristics. However, it requires accurate and reliable historical data to develop the statistical model, and may not be appropriate for projects that are highly unique or innovative

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businesses commonly acquire assets from: multiple select question. borrowing from creditors. repaying debt. paying cash expenses. earning revenue.

Answers

Businesses commonly acquire assets from: borrowing from creditors, paying cash expenses, earning revenue.

Businesses commonly acquire assets from several sources including:

Borrowing from creditors can include obtaining loans from banks or other lending institutions.

Businesses can generate revenue through the sale of products or services and use this revenue to purchase assets.

Businesses can also purchase assets by paying cash for them rather than borrowing funds.

Repaying debt is not a common way for businesses to acquire assets, as this would result in reducing the assets of the business. Repaying debt is typically used to reduce the liabilities of a business.

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How do stocks show that the stockholder owns part of a company? how is the price of the stock decided?

Answers

Stocks indicate ownership in a company by representing shares or portions of the company's ownership. The price of a stock is determined by various factors, including supply and demand dynamics, company performance, market sentiment, and investor expectations.

Stocks serve as evidence that an individual or entity owns a portion of a company. When a person purchases stocks, they acquire shares or ownership stakes in the company. Each share represents a fraction of the company's ownership, and the more shares one possesses, the larger their ownership percentage in the company becomes. As a stockholder, individuals may have certain rights, such as voting rights in corporate matters, the ability to receive dividends, and the opportunity to participate in the company's growth.

The price of a stock is influenced by several factors. Supply and demand dynamics play a significant role in determining stock prices. If there is high demand for a particular stock and limited supply, the price tends to increase. Conversely, if there is a surplus of sellers and a lack of buyers, the price may decline. Other factors that impact stock prices include the financial performance of the company, industry trends, market conditions, news and events, investor sentiment, and expectations of future growth or profitability. These factors are constantly evaluated by market participants, and the resulting buying and selling activities contribute to the fluctuations in stock prices.

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Manny is paid semimonthly. His semimonthly salary is $1,239. What is his annual salary? Which of the following statements from Dalton's atomic theory is no longer true, according to modern atomic theory? The intent of the United States immigration laws of the 1920s was to...Restore an open door policy toward immigration.Increase economic opportunities for recent immigrants.Encourage cultural diversity.Restrict immigration through the use of quotas. what is the definition and an example of the concept un the contextof developing countries with elaboration in the prebisch-singerhypothesis Viruses are often isolated from cells by filtration based upon the fact that they ______.a)form large aggregates that do not pass through the filterb) make the host cell sticky so it will bind to the filter and not pass through itc) bind to the filter, while cells pass through itd) are smaller than the pore size of the filter, so they pass through it which techniques will a nurse include in the assessment of an infertile couple? select all that apply What is a slope grade 11? que hace un avion. what is the best response to the following question which statement by the nurse is most appropriate when preparing a 6-year-old child for a surgical procedure under general anesthesia? A short sale of a stock is: 1. where the seller is then required to return an equal number of shares at some point in the future. 2.the sale of an asset or stock the seller does not own. 3.generally a transaction in which an investor sells borrowed securities in anticipation of a price decline. 4. mandated that any dividend declared during the transaction should go the original owner/s of the stocks. 5. All the options given are correct. Need help!!! With this English question Let X be normally distributed with mean =10 and standard deviation =6.find p(4 x 6 ). round your answer to 1 decimal place. the insulin receptor is a receptor tyrosine kinasewhat kind of downstream pathways may get activated when insulin binds to the receptor? Which of the following statement is INCORRECT? O Interest cover measures the number of times the operating profit is compared to interest expense. O High asset turnover ratio reflects a low level of capital intensity O Return on equity measures the amount of operating profit generated by a company's share capital and reserves. O Net profit after tax reflects a company's profitability after excluding the effects of interest and tax. urgent!!! help please :))Question 4 (Essay Worth 4 points)The cost of attending an amusement park is $10 for children and $20 for adults. On a particular day, the attendance at the amusement park is 30,000 attendees, and the total money earned by the park is $500,000. Use the matrix equation to determine how many children attended the park that day. Use the given matrix equation to solve for the number of childrens tickets sold. Explain the steps that you took to solve this problem.A matrix with 2 rows and 2 columns, where row 1 is 1 and 1 and row 2 is 10 and 20, is multiplied by matrix with 2 rows and 1 column, where row 1 is c and row 2 is a, equals a matrix with 2 rows and 1 column, where row 1 is 30,000 and row 2 is 500,000.Solve the equation using matrices to determine the number of children's tickets sold. Show or explain all necessary steps. When magnesium chloride (MgCl2) is dissolved in water, which statement must be true?(1 point)ResponsesThe sum of the mass of the Mg2+ ions and the mass of the Cl ions must be equal to the mass of MgCl2.The sum of the mass of the Mg, 2+, ions and the mass of the Cl, , ions must be equal to the mass of MgCl, 2, .The sum of the number of moles of the Mg2+ ions and the number of moles of the Cl ions must be equal to the number of moles of MgCl2.The sum of the number of moles of the Mg, 2+, ions and the number of moles of the Cl, , ions must be equal to the number of moles of MgCl, 2, .The mass of the Mg2+ ions and the mass of the Cl ions must each be equal to the mass of MgCl2.The mass of the Mg, 2+, ions and the mass of the Cl, , ions must each be equal to the mass of MgCl, 2, .The number of moles of the Mg2+ ions and the number of moles of the Cl ions must each be equal to the number of moles of MgCl2. A point charge q = -6.0nC is located at the origin. The electric field (in N/C) vector at the point x = -8.0m, y= +1.5m is? The anatomical barriers and defense mechanisms that cannot distinguish between one potential threat and another are called __________ When ringing up a customer, a cashier needs 25 seconds to process payment as well as 1second to scan each item being purchased. How long does it take to ring up a customerwith 13 items? Help me with this science question on the middle one..