The issuance of notes payable for borrowing is classified in the statement of cash flows as a(n): Multiple Choice Operating activity. Investing activity. Financing activity. Noncash activity.

Answers

Answer 1

The transaction of the issuance of notes payable for borrowing will be classified in cash flows statement as a Financing activities.

Under the statement of Cash-flow, the financing activities section records all transactions that involves long-term liabilities, owner's equity etc.

Hence, the transaction of the issuance of notes payable for borrowing will be classified in cash flows statement as a Financing activities.

Therefore, the Option C is correct.

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Related Questions

SOLVE THE GRAPH AND THE SUPPLY OR SHORTAGE AND THE PRESSURE OF PRICE ​

SOLVE THE GRAPH AND THE SUPPLY OR SHORTAGE AND THE PRESSURE OF PRICE

Answers

Answer:

probably cant figure it out

Explanation:

How does your state’s on-time payment record compare to the national rate?

Answers

It should be noted that my state’s on-time payment record is high compare to the national rate.

What is a credit score?

A credit score serves as a numerical expression based on a level analysis of a person's credit files.

This is a term that to represent the creditworthiness of an individual after his account has been checked.

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how do social media analytics aid an organization? give an example of a social media data stream and the type of insight that might be drawn from it.

Answers

Social media gives businesses unprecedented open access to communicate with customers and opportunities.

What is Social media?Social media is a collective time period for web sites and packages that target communication, community-primarily based totally input, interaction, content material-sharing and collaboration. People use social media to live in contact and engage with friends, own circle of relatives and numerous groups. Social media are interactive technology which can be additionally a part of media that facilitate the advent and sharing of information, ideas, interests, and different varieties of expression via digital groups and networks. Users typically get right of entry to social media offerings via web-primarily based totally apps on computers or down load offerings that provide social media capability to their cellular devices. As customers interact with those digital offerings, they devise especially interactive systems which individuals, groups, and agencies can share, co-create, discuss, participate, and adjust user-generated or self-curated content material published online.

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Businesses are important to a free enterprise system because they?

Answers

Answer:

A.provide consumers with goods and services

Multiple choices

A.provide consumers with goods and services

B. make legal decisions related to property rights.

C. prevent entrepreneurs from taking to many risks.

D. enforce economic regulations to protect citizens. ​

Explanation:

Production of goods and services is done by the private sector in a free enterprise system. A majority of the factors of production belong to the private sector. The government does not actively participate in economic activities.

In the free enterprise system, the private sector produces and distributes goods and services in the economy. In other words, all the goods and services consumed in a free enterprise system are produced by the private sector.

natural unemployment equals _____ unemployment plus _____ unemployment.

Answers

Frictional; structural

The discount loans are a responsibility of
Board of Governors
OCC
Federal reserve banks
Commercial Banks
FOMC

Answers

The  reduction loans are a responsibility of Federal reserve banks. Correct option is c.    

The Federal Reserve( Fed) sets the interest rate on loans it makes to  marketable banks and other depository institutions. This rate is known as the  reduction rate. By  conforming the  reduction rate, central banks like the Fed can ease reserve-  demand pressures and liquidity issues, manage the  quantum of  plutocrat in the frugality, and basically guarantee  fiscal  request stability.  Contrary to popular belief, this isn't the same as the civil  finances rate, which is the target interest rate for late interbank lending between  marketable banks  rather. The Fed sets the target, but the  request's  force and demand for late loans eventually decide the fed  finances rate.

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A new company can offer stocks in an initial public offering (IPO) before the company has proven itself capable of generating long-term profits for its stockholders. If the company seems likely to generate profits, the stock price in the IPO will rise; if the company seems less likely to generate profits, the stock price in the IPO will fall. Today business analysts announced that the Tenon Corporation has turned a profit in the financial quarter just completed. Therefore, stock prices for the Tenon Corporation's IPO, which is planned for next week, will rise.

Which of the following, if true, most weakens the argument above?

A. Companies that do not have profitable quarters are not profitable in the long run.
B. Stock price predictions for the Tenon Corporation's IPO have varied markedly over the last several months.
C. The last financial quarter has proven profitable for numerous other companies in addition to the Tenon Corporation.
D. Industry experts announced today that the raw materials from which the Tenon Corporation manufactures its products will become prohibitively expensive within the next month.
E. Most people who purchase stocks in an IPO decline to attend stockholders' meetings of the companies in which they own stock.

Answers

Answer: D. Industry experts announced today that the raw materials from which the Tenon Corporation manufactures its products will become prohibitively expensive within the next month.

Explanation:

Costs eat into the profits of a company because the higher the costs of producing something, the less profit can be made after the costs are covered.

If there is a situation therefore, where the raw materials that Tenton relies on becomes more expensive, it is definitely going to affect their profitability because they will incur a higher cost to produce.

This will reduce their future profitability which would mean that Tenton becomes less likely to generate a certain level of profit in future thereby weakening their stock according to the logic above.

In the cpi, goods and services are weighted according to.

Answers

Answer:

A consumer price index (CPI) is usually calculated as a weighted average of the price change of the goods and services covered by the index.

Explanation:

The weights are meant to reflect the relative importance of the goods and services measured by their shares in total consumption of household.

(0)
The fundamental limitation of a matrix structure is that it ________.
creates a poor organizational culture
introduces more errors in the decision-making process due to the speed of the process
isolates upper management from operational levels
institutes a dual hierarchy that violates the unity-of-command principle

Answers

The fundamental limitation of a matrix structure is that it institutes a dual hierarchy that violates the unity-of-command principle.

A matrix structure is an organizational design that combines functional and project-based reporting structures. It introduces a dual reporting system where employees have to report to both a functional manager and a project manager. While this can provide flexibility and improved communication, it can also create challenges.

One of the main limitations is that the dual reporting lines can lead to conflicting priorities and confusion among employees. They may receive conflicting instructions from different managers, making it difficult to follow a clear chain of command and maintain unity of command. This can result in a loss of accountability and decision-making efficiency.

Therefore, the fundamental limitation of a matrix structure is that it institutes a dual hierarchy, which violates the unity-of-command principle.

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Which of these is an example of an entrepreneur?
A. Jesse has the idea for a new phone app, so he spends his money
to set up a business.
B. Olivia is part of a team that develops new products for a well established company.
C. Cleo joins her friend's new business to help with managing
finances.
D. Vince has been promoted to manager because he knows his
industry very well.

Answers

Answer: A.Jesse has the idea for a new phone app, so he spends his money

Explanation: Took the test

Jesse has the idea for a new phone app, so he spends his money to set up a business of these is an example of an entrepreneur. Thus, option (a) is correct.

What is entrepreneur?

The term entrepreneur refers to the person who launched a new business with own risk and profit basis. The setup of new business with new idea and logic is called entrepreneurship. The entrepreneur is the main motive to set up business to generate employment. The entrepreneur is work new idea as called startup company.

Entrepreneur was the important role in each country. An entrepreneur is the spends his money to the set-up of the money. It was the perfect example is the Jesse has the idea for a new phone app, so he spends his money to set up a business.

As a result, the conclusion of the entrepreneur example are the aforementioned. Therefore, option (a) is correct.

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In the context of budget deficits, what is crowding out?.

Answers

Definition of crowding out – when government spending fails to increase overall aggregate demand because higher government spending causes an equivalent fall in private sector spending and investment

some pencils are to be shared between grade 7, grade eight students receive 196 more than grade 7 students no, find the total number of pencils shared,find the total number of pencils shared.​

Answers

Answer:

203

Explanation:

JohnBoy Industries has a cash balance of $54,000, accounts payable of $134,000, inventory of $184,000, accounts receivable of $219,000, notes payable of $129,000, and accrued wages and taxes of $41,500. How much net working capital does the firm need to fund?

Answers

Answer:Net working capital = $152,500

Explanation:

Net working capital = CA– CL

Where CA= Current Assets = Cash + Inventory + Accounts Receivable

and CL= Current Liabilities= Account payable + Notes payable + accrued wages and taxes

CA=$54, 000 + $184,000 + $ 219,000 =$457,000

Current liabilities = Account payable + Notes payable + accrued wages and taxes

CL = $134,000 + $129,000 + $41,500 = $304,500

Net working capital = Current assets – Current liabilities

Net working capital = $457,000 – $304,500=  $152,500

Net working capital = $152,500

If you are willing to buy a stock of Fast Skin Inc. and you hope to receive the option premium you should

Answers

If you are willing to buy a stock of Fast Skin Inc. and you hope to receive the option premium you should buy a put option on the stock of Fast Skin Inc.

What is put option?

This is a contractual agreement in which an owner has a right to sell shares at a stated price but it is not obligatory.

Here, the predetermined price where the option put the buyer to sell at the strike price.

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Which of the following is a personal benefit of eaming a college degree?
A. You have more friends.
B. You are more likely to exercise.
C. You have a longer life expectancy.
D. You are more likely to vote for the right candidate.

Answers

Answer:

Option B !!!!! :))

Explanation:

What is the present value of the following set of cash flows, discounted at 15%
per year?
Year 1 2 3 4
CF 100 −$100 $200 −$200

Answers

Present value factor of 15% for years 1 to 4 are multiplied by the respective cash flows for those year and adding them up to arrive at the net present value

Pv factor = 1/(1+r)∧n

Where

r = rate of interest = 15%

n = period = 1 to 4

Present Value

=$100 × pv factor of year 1-$100 pv factor of year 2+ $200 × pv factor of year 3- $200 × pv factor of year 4.

= $100 ×0.8696-$100 ×0.7561+$200 ×0.6575-$200 ×0.5717

= $86.96-$75.61-$131.5 -$114.34

$28.51

The movement of cash into and out of a business is referred to as cash flow. Cash received represents inflows, while cash spent represents outflows. The cash flow statement was a financial statement that details a company's cash sources and expenditures over time. Cash flows from operations, investing, as well as financing are common categories for a company's cash flow.

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4. As a result of the Covid pandemic, the management of FeiFei plc (F) are discussing with the executive workers union Emsa (E), the introduction of more flexible working practices to help increase profits. In return for accepting the new working practices, E are negotiating an increase in salaries. In these negotiations, E are attempting to maximise salaries and F are attempting to maximise their profits. Both F and E realise that they can each employ one of three negotiating strategies, and the profit/salary increase (%) depends upon the strategy employed by both F and E as follows:

E's Strategy

E1

E2

E3

F1

(5,6)

(6,8)

(2,7)

F's

F2

(5,4)

(8,5)

(2,6)

Strategy

F3

(5,3)

(8,3)

(3,4)

(If F employs F1 and E employs E1 then profits will increase by

5% and salaries will increase by 6%)

(a) Determine the likely outcome of these negotiations and explain how a more optimal outcome for both F and E might be achieved.

(300 words maximum) (35 marks)

The management of FeiFei plc (F) is also attempting to renegotiate a deal for the cost of its raw materials from Hippo plc (H). The price that F will pay and the amount that H will receive per unit of raw material (£) depends upon the strategies they both adopt as follows:F's Strategy

F4

F5

F6

H1

8

12

4

H's

H2

10

6

11

H3

10

14

8

Strategy

(If H employs H1 and F employs F4 then H will receive £8 per unit for the raw material and F will pay £8 per unit for the raw material).

(b)

(c)

Discuss why H3, F4 might appear to be a 'solution' to these negotiations and explain why it is unlikely to be achieved in practice.

(250 words maximum) (25 marks)

Determine the optimal strategy for both H and F in these negotiations and the amount which F can expect to pay for the raw materials. Explain the method

adopted at each stage of these calculations.

(300 words maximum) (40 marks)

Answers

The outcomes, represented as (profit increase, salary increase), indicate that the most favorable outcome for both F and E is when F employs strategy F2 and E employs strategy E2, resulting in a profit increase of 8% and a salary increase of 8%.

By analyzing the possible strategies and their corresponding outcomes, it becomes clear that F2 and E2 offer the highest gains for both parties. However, to achieve a more optimal outcome, F and E could employ cooperative negotiation strategies. This approach would involve open communication, compromise, and finding a mutually beneficial solution that balances profit maximization for F and salary maximization for E. By focusing on long-term sustainability and growth, both parties can work together to create a win-win situation that addresses their respective objectives.

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Jake receives a portion of his income from his holdings of interest-bearing U.S. government bonds. The bonds offer a real interest rate of 4.5% per year. The nominal interest rate on the bonds adjusts automatically to account for the inflation rate.


Given the real interest rate of 4.5% per year, find the nominal interest rate on Sean's bonds, the after-tax nominal interest rate, and the after-tax real interest rate under each inflation scenario.


Inflation Rate Real Interest Rate Nominal Interest Rate After-Tax After-Tax

Nominal Interest Rate Real Interest Rate


(Percent) (Percent) (Percent) (Percent) (Percent)


2.0 4.5

8.5 4.5


Compared with lower inflation rates, a higher inflation rate will the after-tax real interest rate when the government taxes nominal interest income. This tends to saving, thereby the quantity of investment in the economy and the economy's long-run growth rate.

Answers

Answer:

First we find the nominal interest rate under the two scenarios. The formula is:

Nominal Interest Rate = Inflation Rate + Real Interest Rate

Nominal Interest Rate first scenario = 2.0 + 4.5

                                                           = 6.5

Nominal interest rate second scenario = 8.5 + 4.5

                                                                = 13

Now we find the after-tax nominal interest rate. The formula is:

After tax nominal interest rate = nominal interest rate x (1 - tax rate)

We will assume that the tax rate is 10%.

After tax nominal interest rate first scenario = 6.5 x (1 - 0.1)

                                                                         = 5.85

After tax nominal interest rate second scenario = 13 x (1 - 0.1)

                                                                               = 11.7

Finally, we find the after-tax real interst rate. The formula is:

The formula is the same as above, the only difference is that the real interest rates are used instead.

After tax real interest rate first scenario = 4.5 x (1 - 0.1)

                                                                  = 4.05

After tax real interest rate second scenario = 4.5 x (1 - 0.1)

                                                                        = 4.05

As a manager, your decisions must always improve the function of an organization and contribute toward _____.

increased revenue
meeting the vision
meeting the goals
increased staff

Answers

Answer:

It's C.

Explanation:

It's definitely not meeting the vision(s) or increased staff so I narrowed it down to A and C, increased revenue and meeting the goals, saying them both in the sentence for the blank it flows and makes sense so you have to go by common-sense or knowledge so I have a good guess that it would be meeting the goals. Managers do sell stuff but rarely, and selling stuff is how you increase revenue. Trying to meet the goals is more of managers isle and from what I know of managers it wouldn't be meeting the vision in any postion.

Answer:

B. Meeting The Vision

Explanation:

I took the Instruction/Assignment and got it wrong, It's Meeting The Vision

As a manager, your decisions must always improve the function of an organization and contribute toward

How do bonds earn income

Answers

Answer:

The owner of the bond receives interest payments, known as the coupon, throughout the life of a bond, at the interest rate that was determined when it was issued.

Explanation:

They are debt obligations, meaning that the investor loans a sum of money (the principal) to a company or a government for a set period of time, and in return receives a series of interest payments (the yield).

The accompanying graphs depict the market for bags of potato chips, which is currently at an equilibrium price of $1.67 per bag and an equilibrium quantity of 3.33 million bags. Suppose that, in an attempt to lower blood pressure and reduce healthcare costs, the government imposes a $1.00 excise (or commodity) tax on potato chips. Scroll down to answer all 6 parts of the question


a. Suppose the government levies this tax on manufacturers for each bag of potato chips they produce. Please shift the curve(s) to illustrate this.

b. What is the price paid per bag by consumers (Pc) after the production tax?

c. What is the price received net of tax (Pp) per bag by producers after the production tax?

d. Suppose the government, instead of levying the tax on producers, levies this tax on consumers for each bag of potato chips they purchase. Please shift the curve(s) to illustrate this.

e. What is the effective price paid per bag by consumers (Pc) after the consumption tax?

f. What is the price received net of tax (Pp) by producers after the consumption tax?

Answers

A market-clearing price, often referred to as an equilibrium price, seems to be the consumer cost associated with a good or service when the demand and supply are equal or nearly equal.

By equilibrium pricing, what do you mean?

Economic equilibrium in economics refers to a scenario where demand as well as supply are balanced and the values underlying economic variables do not change in the absence of outside factors.

1. As the tax levied is $1, the supply curve rises by $1 from of the equilibrium price.

2.2(3.33/$1.67)

3. 1(3.33/($1.67+$1)

4. From the equilibrium price, the demand curve declines by $1. (due to tax imposed)

5. 2(3.33/$1.67)

6. 1(3.33/($1.67+$1)

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when dealing with a constrained resource, managers should focus their attention on managing the ______.

Answers

When dealing with a constrained resource, managers should focus their attention on managing the bottleneck.

A bottleneck refers to any part of a process that limits the flow of work or materials.

It can be caused by a variety of factors such as insufficient capacity, inefficient processes, or poor resource allocation.

Bottlenecks can significantly impact productivity, profitability, and customer satisfaction.

Therefore, it is crucial for managers to identify and address bottlenecks in a timely and effective manner.

By managing the bottleneck, managers can increase the throughput of the system, reduce lead times, improve quality, and ultimately achieve better business results.

This requires a thorough understanding of the bottleneck's characteristics, including its capacity, utilization, and cycle time.

Once identified, managers can employ a range of strategies to manage the bottleneck, such as increasing capacity, improving efficiency, optimizing resource allocation, or implementing new technologies.

Successful bottleneck management requires a proactive and continuous approach that involves monitoring, analysis, and improvement.

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If you have 900 dollars and you save it for ten years woth eight percent interest, what will be it’s future value?

Answers

1620
900 times 8%, or 0.08 is 72. So 72 is the interest for 1 year. You multiply that times 10 for ten years of interest and get 720. You add 900 and 720 and you get 1620. Therefore, 1620 is how much you have after 10 years with eight percent interest. Hopefully this helps!

plz help if ur good at taxes

plz help if ur good at taxes

Answers

Answer:

pay: 73,300

income tax: 73,300*0.37 = 27,121

EI: 73,300*0.0173=1,268.09

CPP: 2,590

Yearly Pay will be 73,300-27,121-1,268.09-2,590 = $42,320.91

Weekly pay (paycheck) = 42320.91/52 = $ 813.86

Explanation:

the term average means _______.

a. there are an equal number of employees earning above the amount provided and an equal number earning below the amount provided
b. there are an equal number of employees earning above the amount provided but not an equal number of employees earning below the amount provided
c. there are an equal number of employees not earning above the amount provided but an equal number of employees earning below the amount provided
d. The number calculated by adding all numbers together, then dividing by the total amount of numbers

Answers

D.

...................

If you are interviewed by more than one person, you should send a thank-you note to _____.


each person in the interview

each person you see in the building

the first person you are introduced to

the person who is obviously leading the interview

Answers

Answer:

option A is correct.

i.e.

each person in the interview.

Explanation:

Because thank-you letter provides a simple but effective way to express gratitude to all the individuals you met with.

A consol is selling at $1,200 with an interest rate of 5%. How much would this bond sell for if the interest rate were 8% instead?

Answers

A consol selling at $1,200 with an interest rate of 5% will sell for $750 if the interest rate were 8%.

The value of the consol can be calculated using the formula:P = C / iWhere:P = priceC = coupon paymenti = interest rateFor the given question, let us use the value of C = 1,200 x 0.05 = $60We need to find the price of the bond at 8% interest rate.So, let us substitute the values:P = 60 / 0.08 = $750Therefore, the consol selling at $1,200 with an interest rate of 5% will sell for $750 if the interest rate were 8%.

A consol is a fixed interest-bearing security that does not have a maturity date and can be held indefinitely. The coupon payment on a consol is paid annually at a fixed rate of interest. The price of a consol is inversely proportional to the interest rate.The formula to calculate the price of a consol is:P = C / iWhere:P = priceC = coupon paymenti = interest rateFor the given question, the price of the consol is $1,200 and the interest rate is 5%. Hence, we can calculate the coupon payment:C = P x i = $1,200 x 0.05 = $60If the interest rate were 8%, the price of the bond can be calculated as follows:P = C / i = $60 / 0.08 = $750Therefore, the consol selling at $1,200 with an interest rate of 5% will sell for $750 if the interest rate were 8%.

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The petty cash fund has a current balance of $ 350​, which is the established fund balance. Based on activity in the​ fund, it is determined that the balance needs to be changed to $ 450. Which journal entry is needed to make this​ change?

Answers

Answer:

Debit the petty cash account and credit the cash account with $100

Explanation:

Businesses sets aside small amount of money(cash) to cover recurring expenses such as postage stamp, delivery charges, fares etc. This is usually done through the setting up of petty cash fund. The purpose of petty cash fund is to make provision for re-imbursement of minor expenses where there are no alternatives.

With regards to the above, the journal entries would be Debit petty cash account and Credit cash account with $100.

Answer:

Debit Petty Cash, credit cash for $100

Explanation:

To increase the petty cash fund, you must increase its normal balance which is a debit.

you are actually cashing a check for $100 (hence, credit to cash account) and actually putting more cash into your petty cash account.

some vending machines on college campuses sell identical items, such as the same bags of potato chips, for two different prices. the low-priced chips generally sell out by the end of the day, leaving the more expensive chips for late-night visitors to the vending machines. what must the vending machine operators think about the demand of people who visit the machine at night relative to those who visit the machine during the day? why might they think this? people who buy snacks at night have more elastic demand than people who buy snacks during the day. people buying snacks at night have probably already eaten three full meals. people who buy snacks at night have less elastic demand than people who buy snacks during the day. people buying snacks at night have fewer substitutes from which to choose, since a lot of restaurants and other stores are likely to be closed. people who buy snacks at night have more elastic demand than people who buy snacks during the day. people who are in the building late at night are likely to have an office in which they can store food. people who buy snacks at night have less elastic demand than people who buy snacks during the day. people who buy from the vending machines at night are more likely to bring food from home and thus not need food from a vending machine.c

Answers

People who buy snacks at night have less elastic demand than people who buy snacks during the day. People buying snacks at night have fewer substitutes from which to choose (since a lot of restaurants and other stores are likely to be closed).

Call for is the amount of a great that clients are willing and capable of purchase at diverse fees for the duration of a given time. the relationship among charge and amount demand is likewise called the demand curve.

Demand truly way a customer's choice to buy goods and offerings with none hesitation and pay the fee for it. In easy phrases, demand is the quantity of products that the customers are equipped and inclined to shop for at numerous prices throughout a given time body.

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It is January 2nd and senior management of Baldwin meets to determine their investment plan for the year. They decide to fully fund a plant and equipment purchase by issuing 75,000 shares of stock plus a new bond issue. Assume the stock can be issued at yesterday s stock price ($35.91) and leverage changes to 2.7. Which of the following statements are true? Select all that apply. a. Working capital will remain the same at $14,417,761 b. Total liabilities will be $140,829,878 c. Baldwin will issue stock totaling $2,693,250 d. Total assets will rise to $220,312,314 e. The total investment for Baldwin will be $21,120,460

Answers

The statements (b) Total liabilities will be $140,829,878,(d) Total assets will rise to $220,312,314 and (e) The total investment for Baldwin will be $21,120,460 are true:

When Baldwin issues 75,000 shares of stock and a new bond issue, it will increase its total liabilities and total assets. The stock issued at yesterday's stock price of $35.91 will contribute to the increase in total liabilities. The leverage changes to 2.7 indicate that Baldwin is increasing its debt financing. As a result, total liabilities will be $140,829,878.

The issuance of stock and the new bond issue will also increase the total assets of Baldwin. The funds raised through these securities will be used to fully fund a plant and equipment purchase, which will contribute to the increase in total assets. Therefore, total assets will rise to $220,312,314.

The total investment for Baldwin can be calculated by adding the value of the stock issued ($35.91 multiplied by 75,000 shares) and the value of the new bond issue. Based on the given information, the total investment will be $21,120,460.

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Which research study would provide the MOST information about asthma and heredity? Emily Rodriguez Court CaseDescribe Daniel Burns' role at Stone Creative. do size and value effects mean that small stocks outperform large stocks or value stocks outperform growth stocks in every year/every month? the English bill of rights gave parliament absolute over government institutions and lawsupreme sovereignty 1. Write two factors that determine the reactivity of elements. Among the given alkali metal which is the most reactive de why? Group IAH Li Na KWill get brainliest..if it's right.. Question 3 Which of the following expressions is equivalent to (1 + cos 0)? A. 1+2 cos(0) + cos (0) B. 1+ cos0 C. sin (0) D. (1+cos (0)) (1 - cos(0)) Last week Scott ran 43 miles less than James. Scott ran 5 miles. How many miles did James run?A. 35B. 44C. 38D. 48 How did the Las Gorras Blancas (white caps) resist American expansion? Drag each tile to the correct box.Refer to this vocabulary table of words from Beowulf. Use the examples given in the vocabulary table to identify the meanings of the following words.TilesarduousbereftasunderfiendsuccorclamorousdolefulloathsomePairsvery difficultarrowBothseparated, torn apartarrowBothdeprived or robbed of somethingarrowBothnoisyarrowBothsorrowfularrowBothan evil personarrowBothhatefularrowBothrelief or aidarrowBoth Ocean currents can influence the amount of ice in the ArcticOcean.True/False The Congress of Vienna aimed to ensurethe removal of Napoleon from power.that Vienna became the center of European commerce.that peace and stability would return to war-torn Europe.the nomination of Prince von Metternich as Napoleons replacement. Three sides of a triangle are 2 + 2 + 2, 4 + 52 32 + 2. Findits perimeter PLEASEEE HELPPPPP (I only need #12) As blood flows from the hepatic portal vein to the central veinin the liver, the concentration of blood proteins will most likelydecrease. TRUE or FALSE What is the solution to 4x^3 3x^2 7x < 0? A. (, 1) U (0, 1.75) B. (, 1] U [0, 1.75] C. (1, 0) U (1.75, ) D. [1, 0] U [1.75, ) In the context of this passage, how has America changed over time? Cite evidence from this tex, your own experience, and other literature, art, or history in your answer. This is the belief that the United States should have control of all the land in North America Manifest Destiny Monroe Doctrine Isolationism Expansion Why do the sisters believe they will never see Mirabella again? to what radius would the sun have to be contracted for its escape speed to equal the speed of light? (black holes have escape speeds greater than the speed of light; hence we see no light from them.) what does it mean sporadic and familial in genetics ?