Group of answer choices
the US Central Plains states in spring
the warm sector of a developing mid-latitude cyclone
strong upper-level convergence
strong surface convergence
strong updrafts
the US Pacific Northwest in summer

Answers

Answer 1

The following are ones that describe either formation areas or atmospheric conditions ideal for supercell thunderstorm development: the US Central Plains states in spring, strong surface convergence, strong vertical wind shear, cool, dry air in the mid-levels above warm moist air near the surface. Options A, D, G & H are correct answers.

Among all thunderstorm kinds, supercell thunderstorms are arguably the most destructive since they may produce strong to extremely strong tornadoes, massive hail, and severe winds. They are most prevalent in the central United States during the spring, when there is moderate-to-strong atmospheric wind shear, vertical wind shear (change in the wind's direction and/or velocity with height), and instability. Options A, D, G & H are correct answers.

The amount and vertical dispersion of moisture, instabilities, lift, and wind fields all have a significant impact on the kind of convective storm, which can be supercells, multi-cells, ordinary/pulse thunderstorms, or a mix of storm types. Small/convective-scale interactions determine storm type and evolution after thunderstorms occur.

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The complete question is, "Of the list of terms and phrases below, select the ones that describe either formation areas or atmospheric conditions ideal for supercell thunderstorm development.

A. the US Central Plains states in spring

B. the warm sector of a developing mid-latitude cyclone

C. strong upper-level convergence

D. strong surface convergence

E. strong updrafts

F. the US Pacific Northwest in summer

G. cool, dry air in the mid-levels above warm moist air near the surface

H. strong vertical wind shear"


Related Questions

For your Course Project, explain what contingency planning you will need to complete your project. Also, make sure you include in your answer how quality will be impacted. Make sure you explain what aspect of project quality management will help your efforts so that quality isn't compromised.

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By developing a contingency plan and a quality management plan, the project manager can ensure that the project is completed on time, within budget, and to the highest quality possible.

Contingency planning is the creation of alternative strategies to ensure project completion in the event that a project's goals are not met. Contingency planning is essential in project management because projects frequently experience roadblocks that can jeopardize their completion. In the case of a project, a contingency plan may be required to deal with unexpected issues or problems that emerge during the project's life cycle.For a Course Project, a contingency plan must be developed to ensure that the project is completed. There are several aspects that must be taken into account while developing a contingency plan. Firstly, it is critical to assess the risks associated with the project. This can be accomplished by conducting a thorough risk analysis, which involves identifying possible project risks, their impact on the project, and the likelihood of their occurrence.Secondly, it is critical to establish clear objectives and expectations for the project. This includes creating a project plan that outlines the tasks, milestones, and deliverables required to complete the project. It is also critical to establish a budget for the project to ensure that adequate resources are available to complete the project.Finally, quality management is crucial in ensuring that the project is completed to a high standard. Quality management is a critical aspect of project management that ensures that the project meets its requirements and goals. It is critical to establish a quality management plan that outlines the quality assurance and quality control activities that will be conducted during the project.The quality management plan should include the quality control techniques that will be used to ensure that the project's output is of the highest quality possible. This may include peer reviews, testing, or other quality control techniques. By developing a contingency plan and a quality management plan, the project manager can ensure that the project is completed on time, within budget, and to the highest quality possible.

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: Crop researchers are interested in the productivity of a new variety of corn. They plant 30 plots with randomly selected seeds of the new variety, record the yield in bushels per acre, and find that a 95% confidence interval for the true mean yield is 125 to 140 bushels per acre. (a) Interpret the confidence interval. (3 points) (b) What is the point estimate that was used to create the interval? What is the margin of error? (2 points) (c) Interpret the confidence level. (3 points) (d) Based on the research, a marketer tells a possible customer that with this new variety of corn they can expect to receive more than 125 bushels per acre, on average. Use the confidence interval to evaluate this statement. (3 points)

Answers

(a) The confidence interval of 125 to 140 bushels per acre means that we can be 95% confident that the true mean yield of the new variety of corn falls within this range.

(b) The point estimate used to create the interval is not specified. The margin of error can be calculated as half the width of the interval, which is (140 - 125) / 2 = 7.5 bushels per acre.

(c) The confidence level of 95% means that if we were to repeat the study many times and construct confidence intervals, approximately 95% of those intervals would contain the true mean yield of the corn.

(d) Indicating customers can expect to receive more than 125 bushels per acre, on average.

(a) The 95% confidence interval for the true mean yield of the new variety of corn, ranging from 125 to 140 bushels per acre, suggests that if we were to repeat this study multiple times and construct confidence intervals from each sample, approximately 95% of those intervals would contain the true population mean yield.

In other words, there is a high level of confidence that the true mean yield falls within this range.

(b) The point estimate used to create the interval is not provided in the given information. However, it would be the sample mean yield of the 30 plots.

The margin of error can be calculated as half the width of the confidence interval. In this case, it would be (140 - 125) / 2 = 7.5 bushels per acre. The margin of error represents the range within which we expect the true population mean to fall.

(c) The confidence level of 95% indicates that if we were to repeat the sampling process and construct confidence intervals, approximately 95% of those intervals would contain the true population mean yield. It provides a measure of how confident we can be in the estimated interval capturing the true mean yield.

(d) Based on the given confidence interval, the marketer's statement that customers can expect to receive more than 125 bushels per acre, on average, is supported.

The lower bound of the interval is 125 bushels per acre, and with a 95% confidence level, it suggests that there is a high probability (95%) that the true mean yield is above this value. Therefore, the statement is consistent with the research findings, indicating that customers can indeed expect to receive a yield greater than 125 bushels per acre, on average.

In conclusion, the 95% confidence interval provides a range within which we can be reasonably confident that the true mean yield of the new corn variety falls. The confidence level represents the likelihood of the interval containing the true population mean. Based on this information, the marketer's statement aligns with the research results.

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Which of the following are true regarding the comparison of capitalism and socialism as systems of economic organization? O There is little to no evidence to suggest one type of economic organization is superior to the other. O Capitalism relies on central planning, which is always more efficient than when people are allowed to make decisions for themselves. O Socialist economies tend to produce higher living standards than capitalist economies. O Capitalism relies on a system of private property rights and voluntary exchange that results in a more efficient allocation of resources than the central planning conducted by socialist economies.

Answers

When comparing capitalism and socialism as systems of economic organization, it is not accurate to claim that there is little to no evidence suggesting the superiority of one over the other. In fact, capitalism relies on a system of private property rights and voluntary exchange, which is argued to result in a more efficient allocation of resources compared to the central planning conducted in socialist economies. However, it is important to note that socialism is often associated with higher living standards, although this claim is not universally accepted.

The options provided can be evaluated as follows:

1. "There is little to no evidence to suggest one type of economic organization is superior to the other."

This statement is not entirely accurate. Over time, there has been substantial debate and analysis comparing the merits and drawbacks of capitalism and socialism. Various studies and historical examples have presented evidence supporting the advantages and disadvantages of each system. Therefore, it is incorrect to claim that there is no evidence suggesting the superiority of one over the other.

2. "Capitalism relies on central planning, which is always more efficient than when people are allowed to make decisions for themselves."

This statement is incorrect. Capitalism is characterized by decentralized decision-making and the free market, where individuals and businesses make their own economic choices based on supply and demand. Central planning is not a feature of capitalism; instead, it is typically associated with socialist economies where the government has a more significant role in economic decision-making.

3. "Socialist economies tend to produce higher living standards than capitalist economies."

This statement is partially true but not universally accepted. Some proponents of socialism argue that it can lead to a more equitable distribution of resources and improved living standards for all citizens. However, this claim is contested, and there is significant variation in living standards across different socialist and capitalist economies. Factors such as governance, natural resources, technological advancements, and other socio-economic variables also play crucial roles in determining living standards.

4. "Capitalism relies on a system of private property rights and voluntary exchange that results in a more efficient allocation of resources than the central planning conducted by socialist economies."

This statement is generally accurate. Capitalism emphasizes private property rights, market competition, and voluntary exchange, which proponents argue leads to a more efficient allocation of resources. The price mechanism and profit incentives in capitalist economies are believed to provide signals for resource allocation and encourage innovation and productivity. However, it is important to recognize that this claim is subject to debate, and critics of capitalism argue that it can lead to income inequality and externalities that are not adequately addressed by market forces alone.

In conclusion, the most accurate statement is that capitalism relies on a system of private property rights and voluntary exchange, which is argued to result in a more efficient allocation of resources compared to central planning conducted in socialist economies. However, the claim that socialist economies tend to produce higher living standards than capitalist economies is not universally accepted.

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Hoa Phat Group (HPG) is going to build a new steel factory in Da Nang province with the total investment of $100 million. Hoa Phat is facing with two choices: a) using their own retained earnings to finance for the project; b) using a mixed capital structure of 30% debt and 70% of equity to finance for the project. Given the following assumption: Risk free-rate: 4% Market index return: 14% Firm beta: 0.8 - Bank lending rate is: 10% and corporate tax is 30%. - The new steel factory will generate $10 million annually in the next 8 years. From year 9 afterward, the cashflow generated by the factory will increase 8% each year. a. Can Hoa Phat invest in this project by using only equity? b. Calculate cost of capital (WACC) of this project. Do you think using both debt and equity will be a better choice for this project (base of NPV decision rule) compared to using only equity?

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a) Hoa Phat Group (HPG) is planning to build a new steel factory in Da Nang province with a total investment of $100 million. The new steel factory is expected to generate $10 million annually in the next eight years. The cash flow generated by the factory is expected to increase by 8% per year after year 9.

HPG is faced with two choices:

a) using their own retained earnings to finance the project or b) using a mixed capital structure of 30% debt and 70% equity to finance the project.If Hoa Phat Group uses only equity, the cost of capital can be calculated using the Capital Asset Pricing Model (CAPM).

Using the CAPM equation we can find the expected rate of return of the project:

Expected Rate of Return = Risk-Free Rate + Beta * (Market Return - Risk-Free Rate)

Expected Rate of Return = 4% + 0.8*(14% - 4%)Expected Rate of Return = 12.8%We can use this expected rate of return to calculate the Net Present Value of the project to find if it is worth investing in using only equity.

The formula for NPV is

:NPV = CF1/(1+r) + CF2/(1+r)2 + ……+ CFn/(1+r)n

Where, CF = Cash Flow, r = the discount rate, and n = the number of years NPV = -$100m + [$10m/(1+12.8%)] + [$10m/(1+12.8%)2] + ….. + [$10m/(1+12.8%)8] + [$10m(1+8%)/(12.8%-8%)/(1+12.8%)8]NPV = -$6.72m

Therefore, Hoa Phat Group cannot invest in the project using only equity.b) Calculate cost of capital (WACC) of this project.

The formula to calculate Weighted Average Cost of Capital (WACC) is:

WACC = (E/ (E + D)) * Re + (D/(E + D)) * Rd * (1 - Tc)Where E = Equity, D = Debt, Re = Cost of Equity, Rd = Cost of Debt, and Tc = Corporate Tax rate.

In this case, Hoa Phat Group is using a mixed capital structure of 30% debt and 70% equity to finance the project. Therefore, using the formula to calculate WACC:WACC = (0.7 * 12.8%) + (0.3 * 10%) * (1 - 30%)WACC = 9.32%The NPV of the project can now be calculated using WACC instead of the cost of equity (Re).NPV = -$100m + [$10m/(1+9.32%)] + [$10m/(1+9.32%)2] + ….. + [$10m/(1+9.32%)8] + [$10m(1+8%)/(9.32%-8%)/(1+9.32%)8]NPV = $1.63m

Therefore, using both debt and equity would be a better choice compared to using only equity as the NPV is positive.

The WACC represents the cost of capital for the entire firm. This rate is then used as the discount rate to evaluate future cash flows. WACC is an essential tool for any organization looking to fund future investments. WACC is calculated based on the mix of capital sources (debt and equity) and the rate of return required by investors.

HPG should use a mixed capital structure of 30% debt and 70% equity to finance the new steel factory in Da Nang province.

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the cost of common equity is based on the rate of return that investors require on the company's common stock. new common equity is raised in two ways: (1) by retaining some of the current year's earnings and (2) by issuing new common stock. equity raised by issuing stock has a(n)

Answers

The equity raised by issuing stock has a higher cost (re) than equity raised from retained earnings (rs), due to flotation costs required to sell new common stock.

Why does equity raised by issuing stock have a higher cost than equity raised from retained earnings?

Equity raised by issuing stock typically incurs higher costs (re) compared to equity raised from retained earnings (rs) due to the presence of flotation costs. Flotation costs are expenses associated with issuing new common stock, such as underwriting fees, legal expenses, and administrative costs.

When a company issues new stock, it needs to pay these costs to investment banks or underwriters involved in the issuance process. As a result, the cost of equity (re) increases because these additional expenses reduce the net proceeds received by the company from issuing stock.

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TRUE / FALSE. Question 7 (2 points) Logically speaking inductive research comes before deductive research. True False Question 8 (2 points) The type of investigation is an element of research design. True False Que

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TRUE / FALSE. Question 7 (2 points) Logically speaking inductive research comes before deductive research.

False. Explanation: Inductive and deductive research are the two basic types of research approaches. Deductive research is also called top-down approach, and inductive research is a bottom-up approach. These approaches are used in research design and differ in many aspects. The order in which they come into the research design is not predetermined. It all depends on the research questions and the type of research you are conducting.

Therefore, the given statement is not true, logically speaking inductive research comes before deductive research.

FALSE/ Question 8 (2 points) The type of investigation is an element of research design.

True. Explanation: The type of investigation is an element of research design. Research design consists of different elements such as research question, research objective, research method, data collection, data analysis, and others. The type of investigation is also an element of research design because it depends on the type of research you are conducting and the research questions. The type of investigation is related to the type of research, and research design is all about the methodology and process of conducting research.

Therefore, the given statement is TRUE.

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centro-matic company began the year with stockholders' equity of $30,000. during the year, centro-matic issued additional shares of stock in exchange for cash of $42,000, recorded expenses of $120,000, and paid dividends of $8,000. if centro-matic's ending stockholders' equity was $112,000, what was the company's revenue for the year?

Answers

The revenue for the year for Centro-Matic Company was $148,000.

The change in stockholders' equity can be calculated by adding the net income or subtracting the net loss, issuing additional shares, and subtracting dividends. In this case, the beginning stockholders' equity was $30,000, and the ending stockholders' equity was $112,000. Centro-Matic issued additional shares of stock for $42,000, recorded expenses of $120,000, and paid dividends of $8,000.

To calculate the revenue, we need to find the change in stockholders' equity, which is the difference between the ending and beginning stockholders' equity. Therefore, the change in stockholders' equity is $112,000 - $30,000 = $82,000. To find the revenue, we add the change in stockholders' equity to the expenses and subtract the dividends: $82,000 + $120,000 - $8,000 = $148,000. Thus, the revenue for the year for Centro-Matic Company was $148,000.

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Research each of the websites below and answer the following questions regarding the World Bank and the Export-Import Bank. The World Bank c Export-Import Bank of the United States e Answer the following questions regarding the World Bank:
1. What are the World Bank and its responsibilities for developing international commerce?
2. What four functions (4) must developing nations do to grow their economies and attract business?
3. What is the International Bank for Reconstruction and Development (IRBD)?
4. Where does the money come from to operate the World Bank?
5. Describe the two basic types of loans and credits: Investment loans and Development Policy Loans
6. What role do 'Grants' play to facilitate International Commerce?
7. What is meant by the term 'projects' as it relates to the World Bank?

Answers

The World Bank is an international organization that helps developing nations reduce poverty by promoting sustainable economic growth. The World Bank is composed of two distinct entities: the International Bank for Reconstruction and Development (IBRD) and the International Development Association (IDA).

The World Bank's responsibilities include supporting developing countries' efforts to reduce poverty, promoting sustainable development, and building shared prosperity in developing countries. The World Bank provides loans, policy advice, technical assistance, and knowledge-sharing services to developing countries to help them build stronger economies. The four functions developing nations must do to grow their economies and attract businesses are as follows:Firstly, they should stabilize their economies to ensure macroeconomic stability.

Secondly, they should open their economies to the world and integrate into the global trading system. Thirdly, they should promote private investment, especially foreign direct investment. Lastly, they should invest in human capital and provide quality education and health care.The International Bank for Reconstruction and Development (IRBD) is a World Bank institution that provides loans and other forms of assistance to middle-income countries to help them rebuild after conflicts or disasters.

The money used to operate the World Bank comes from contributions from member countries, international bond issues, and income earned on its investments. The two basic types of loans and credits are investment loans and development policy loans.Investment loans are used to finance specific projects that are essential for economic development. Development policy loans, on the other hand, support countries' policy and institutional reforms that are critical to their development goals.

Grants are an essential tool in facilitating international commerce as they help to fund essential projects that developing countries cannot afford.Projects in the context of the World Bank refer to the activities and initiatives the Bank supports, including the financing of infrastructure development, education, health care, and environmental protection, among others.

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The Consumption of quinoa has been on the rise in an economy. A grain called teff has been referred to as quinoa's twin and is often consumed in place of quinoa. This would make teff and quinoa ___________,and an increase in the price of quinoa should ____________the demand for teff, ceteris paribus. O complements: increase O complements; decrease. O substitutes; increase O substitutes; decrease

Answers

This would make teff and quinoa substitute, and an increase in the price of quinoa should increase the demand for teff, ceteris paribus.

Teff and quinoa are regarded as interchangeable since they have comparable uses and may be eaten in place of one another. The demand for teff is anticipated to rise when the price of quinoa rises, ceteris paribus assumes that other things stay the same.

Customers frequently look for substitutes such as teff that offer a comparable utility but at a lower price when the price of a substitute item such as quinoa rises. Thus, as a result, when people switch their preferences to the less expensive choice, an increase in a total price of quinoa would probably result in an increase in the demand for teff.

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Complete Question:

The Consumption of quinoa has been on the rise in an economy. A grain called teff has been referred to as quinoa's twin and is often consumed in place of quinoa. This would make teff and quinoa ___________,and an increase in the price of quinoa should ____________the demand for teff, ceteris paribus.

A. complements: increase

B. complements; decrease.

C. substitutes; increase

D. substitutes; decrease

I need to know the steps
involved in figuring out the calculations in this spreadsheet. For
example, what values and formulas do I need to determine inpatient
and outpatient revenue growth rate?
CASE 30 ST. BENEDICTS TEACHING HOSPITAL: 1 Copyright 2018 Foundation of the American College of Healthcare Executives. Not for sale. Model with Quashna, Student Version this case omists of a vistieman

Answers

We can see here that in order to determine inpatient and outpatient revenue growth rate, here are the values needed:

Inpatient revenue for the current yearOutpatient revenue for the current yearInpatient revenue for the previous yearOutpatient revenue for the previous year

What is revenue?

Revenue refers to the total amount of money earned or generated by a company or organization through its normal business activities. It represents the inflow of economic benefits resulting from the sale of goods, provision of services, or other business operations.

Revenue is a critical component of a company's financial performance and is reported on its income statement.

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how does the government work with the soe's

Answers

Answer:

Explanation:

At times, an SOE is created out of a government agency through a process called corporatization. This allows the agency to convert itself into a for-profit business. Often, the newly formed SOE still operates with government goals in mind, but officially it operates as a commercial enterprise.

If a multinational company cannot change the level of political risk its foreign subsidiaries experience in unstable regions, which of the following hedging tactics would best help the company minimize potential losses?
(A) Market control of distribution
(B) Currency futures contracts
(C) Local debt financing
(D) Key input control

Answers

If a multinational company cannot change the level of political risk its foreign subsidiaries experience in unstable regions, local debt financing would help the company minimize potential losses. The right answer is c.

Debt financing is the process through which a business sells debt instruments to retail and/or institutional investors in order to raise funds for working capital or capital expenditures. The people or organisations receiving the funds become creditors and are given the assurance that the principal and interest on the loan will be paid back.

When a company sells fixed income securities like bonds, bills, or notes, debt financing takes place. Debt funding has to be repaid, as opposed to equity financing, where the lenders obtain stock. Debt finance is extremely important for small and fledgling businesses to purchase the tools necessary for growth.

The correct answer is option C.

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FILL THE BLANK. "When
tourists visit a destination, they are consuming a product that is
all of the following except __________________.
1 point
separable from service providers"

Answers

When tourists visit a destination, they are consuming a product that is separable from service providers, but it is not as immaterial.

Tourism product means a collection of features and benefits that are delivered to tourists for a specific price; it is something that tourists can consume and enjoy. Tourism is a package of goods and services intended to meet the needs of tourists while also allowing for the smooth delivery of the services required to maintain tourism.

The incorrect option is "immovable". When tourists visit a destination, they are consuming a product that is :Provided by different service providers Non-standardizable Not separable (from the place and people providing it)Perishable in time and space.

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e. Given that the exchange rate is fixed, what is the domestic nominal interest rate? Does the increase in government spending affect the domestic nominal interest rate? What happens to the real interest rate in the medium run? (Hint: Remember that expected inflation remains constant by assumption.) What happens to investment in the medium run?

Answers

Given that the exchange rate is fixed, the domestic nominal interest rate is determined by the central bank's monetary policy decisions. An increase in government spending can potentially lead to an increase in the domestic nominal interest rate if the central bank decides to tighten monetary policy to counteract inflationary pressures caused by increased government borrowing. However, the specific impact on the interest rate will depend on various factors and the central bank's response.

In the medium run, with constant expected inflation, the real interest rate is expected to adjust to reflect changes in the demand for and supply of loanable funds in the economy. If government spending increases, it can lead to increased aggregate demand, which may stimulate investment and increase the demand for loanable funds. As a result, the real interest rate may increase due to increased competition for funds. However, if the increase in government spending is funded by borrowing, it can also lead to increased supply of loanable funds, which may put downward pressure on the real interest rate.

The impact on investment in the medium run will depend on various factors, including the effectiveness of government spending in stimulating economic activity, the response of businesses to changes in interest rates, and overall economic conditions. Increased government spending can potentially boost investment if it leads to increased business confidence and improved economic outlook. However, the specific effects on investment will vary depending on the circumstances and the overall economic environment.

About Investment

Investment, is a activity, either directly or indirectly, with the hope that in the future the owner of the capital will receive a number of benefits from the results of the investment.

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Concord Corporation's comparative balance sheets are presented below. Cash Accounts receivable Land Buildings Accumulated depreciation-buildings Total Accounts payable Common stock CONCORD CORPORATION Comparative Balance Sheets December 31 Retained earnings Total 2022 $14,600 21,600 20,500 70,200 (14,500) $112,400 $12,000 74,000 26,400 $112,400 2021 $10,300 23,900 25,900 70,200 (10,800) $119,500 $31,200 70,300 18,000 $119,500 Cash Flows from Operating Activities Net Income Adjustments to reconcile net income to Net Cash Provided by Operating Activities Depreciation Expense CONCORD CORPORATION Statement of Cash Flows For the Year Ended December 31, 2022 Loss on Disposal of Plant Assets Decrease in Accounts Receivable Decrease in Accounts Payable Net Cash Provided by Operating Activities $ 3,700 -5,400 2,300 -19,200 $ 22,900 -18,600 4,300 Cash Flows from Investing Activities Sale of Land Net Cash Provided by Investing Activities Cash Flows from Financing Activities Issuance of Common Stock Payment of Dividends Net Cash Used by Financing Activities Net Increase in Cash Cash at Beginning of Period Cash at End of Period eTextbook and Media $ 4,700 3,700 -14,500 4,700 LICH -10800

Answers

The Statement of Cash Flows for Concord Corporation for the year ended December 31, 2022. The statement should include a section for cash flows from operating activities, cash flows from investing activities, and cash flows from financing activities.

The net increase in cash should be calculated, and the cash at the beginning and end of the period should be shown. Concord Corporation's Statement of Cash Flows for the year ended December 31, 2022 is given below.

Cash Flows from Operating Activities Net Income = $3,700Adjustments to reconcile net income to Net Cash Provided by Operating Activities :Depreciation Expense = $5,400Loss on Disposal of Plant Assets = $2,300Decrease in Accounts Receivable = $19,200Decrease in Accounts Payable = $18,600Net Cash Provided by Operating Activities = $22,900Cash Flows from Investing Activities Sale of Land = $4,700Net Cash Provided by Investing Activities = $4,700Cash Flows from Financing Activities Issuance of Common Stock = $14,500Payment of Dividends = $4,700Net Cash Used by Financing Activities = $9,800Net Increase in Cash = $17,800Cash at Beginning of Period = $10,300Cash at End of Period = $28,100

Therefore, the Statement of Cash Flows for Concord Corporation for the year ended December 31, 2022 is shown above. It shows the net increase in cash, cash flows from operating activities, investing activities, and financing activities.

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Activity Write a code of ethics and establish an ethics policy for PAC. Include plans for implementation. Many organizations post their code of ethics on their web sites, so you may want to research sample code of ethics documents online. Research topics 1. HR's role as a partner in strategic planning. 2. Establishing a climate of ethics in organizations. Human Resource Development Address the following issues 1. Identify the goals of PAC's training programs. Are they meeting these goals? What could be improved? 2. Discuss PAC's efforts to retain and transfer knowledge. Are these efforts effective? What could be done to improve the process? 3. What can HRD do to improve transfer of training? 4. How can HRD demonstrate return on investment to prevent cuts in the training budget? What is the business case for training? Activity Research Kirkpatrick's four levels of training evaluation and design an evaluation system for PAC's management training program. Use all four levels of evaluation. Research topics 1. Knowledge management. 2. Transfer of training. 3. Measuring return on investment for training. Safety and Security Address the following issues 1. Discuss the process of conducting a job hazard analysis. Would this be helpful in light of the increasing workers' compensation claims? 2. Are wellness activities and flexible scheduling just an expensive perk, or is there a real return on investment for the organization? Discuss the business case for wellness and flexible scheduling. 3. Discuss the possibility of differentiating health insurance coverage. Can PAC provide different levels of coverage for smokers and nonsmokers or require smokers to pay their own premiums? What about dependents who smoke? What about discrimination issues? Activity 1 Carpal tunnel syndrome seems to be a significant problem at PAC Resources. Design a formal program to prevent the risk of carpal tunnel and discuss implementation of the program. Page < 26 > of 33 ZOOM +

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Good morning I have a no one here but I won’t have time to go home until I have the rest of my

the four main financial objectives of a firm are . question 6 options: a) profitability, liquidity, efficiency, and stability b) success, strength, liquidity, and profitability c) control, effectiveness, liquidity, and power d) power, success, efficiency, and effectiveness e) efficiency, effectiveness, strength, and flexibility

Answers

The four main financial objectives of a firm are profitability, liquidity, efficiency, and stability.The financial objectives of a company are the monetary goals it aims to achieve in a specified period of time. Financial goals are a way for businesses to determine their priorities and establish a plan to achieve them.

Here are the four primary financial objectives of a firm:Profitability: One of the main goals of a company is to be profitable, which means that the revenue generated from sales is higher than the expenses incurred in running the business. By improving their profitability, businesses can pay their debts and distribute dividends to their investors. To accomplish this, companies must establish reasonable prices for their goods and services while also increasing their sales volume.

Liquidity: This refers to the business's ability to fulfill its short-term obligations, such as paying its bills and meeting its payroll requirements. The liquidity of a company is evaluated by calculating its current assets and comparing them to its current liabilities. A company's liquidity may be jeopardized if it cannot pay its bills or meet its payroll obligations when they come due.

Efficiency: This refers to the company's capacity to utilize its resources effectively and efficiently. Efficiency can be measured by comparing output to input, as well as the company's performance in terms of cost control, inventory management, and debt management.

A business that is effective can operate at a lower cost and achieve more favorable financial results than a company that is less efficient. Stability: This refers to the company's capacity to withstand unexpected shocks to its business operations, such as a recession or a natural disaster. The objective of financial stability is to ensure that the company has the resources it needs to recover quickly and continue to operate effectively, despite any disruptions that may arise.

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The need to establish planning materiality is directly related
to the audit objective of obtaining reasonable assurance of
detecting misstatements that could be large enough, individually or
in the ag

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The setting planning materiality is crucial for auditors, and it requires professional judgment based on the audit risk model. The auditor will accept a lower level of materiality because there is a higher probability of material misstatement.

Planning materiality is a threshold set by the auditor in the planning stage of the audit. It is the amount of money that represents the magnitude of misstatements that could impact the assessment of financial statements for the relevant audit objectives of obtaining reasonable assurance that there are no material misstatements. The auditor determines planning materiality considering many factors such as industry and company's size, internal controls and its sophistication, inherent and control risk, and so on. Planning materiality is also dependent on the level of assurance required for the financial statements. For example, if the auditor provides limited assurance, he/she may set the threshold lower than in the case of reasonable assurance. However, the audit objective of obtaining reasonable assurance of detecting misstatements that could be large enough, individually, or in the aggregate is directly related to the need to establish planning materiality.The materiality level is established by using the audit risk model. The auditor calculates the detection risk by estimating the acceptable level of materiality, inherent risk, and control risk. When inherent risk and control risk are higher, then detection risk will be lower. Consequently, the acceptable level of materiality is also lower. The auditor will accept a lower level of materiality because there is a higher probability of material misstatement. If the level of planning materiality is set too high, there will be an increased risk that material misstatements could exist in the financial statements, and the auditor would not detect them. On the other hand, if the planning materiality level is set too low, the auditor may over-audit the financial statements, which would be time-consuming and more expensive, and it may negatively affect the company's business operations. Therefore, setting planning materiality is crucial for auditors, and it requires professional judgment based on the audit risk model.

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The probable question may be:

The need to establish planning materiality is directly related to the audit objective of obtaining reasonable assurance of detecting misstatements that could be large enough, individually or in the aggregate.

An analyst has timed a metal-cutting operation for 50 cycles. The average time per cycle was 10:40 minutes, and the standard deviation was 1.20 minutes for a worker with a performance rating of 125 pe

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The standard time for this metal-cutting operation, considering the worker's performance rating and the allowance, is 482.56 minutes.

To find the standard time for the metal-cutting operation, we need to consider the average time per cycle, the standard deviation, the worker's performance rating, and the allowance for the job time.

Average time per cycle = 10.40 minutes

Standard deviation = 1.20 minutes

Performance rating = 125% (or 1.25)

Allowance = 16% of job time

First, we need to calculate the standard time per cycle by adjusting the average time with the worker's performance rating:

Standard time per cycle = Average time per cycle / Performance rating

Standard time per cycle = 10.40 minutes / 1.25

Standard time per cycle = 8.32 minutes

Next, we calculate the total standard time for the 50 cycles:

Total standard time = Standard time per cycle * Number of cycles

Total standard time = 8.32 minutes * 50

Total standard time = 416 minutes

Lastly, we account for the allowance by adding it to the total standard time:

Total standard time with allowance = Total standard time + (Allowance * Total standard time)

Total standard time with allowance = 416 minutes + (0.16 * 416 minutes)

Total standard time with allowance = 416 minutes + 66.56 minutes

Total standard time with allowance = 482.56 minutes

Therefore, the standard time  is 482.56 minutes.

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Complete Question : An analyst has timed a metal-cutting operation for 50 cycles. The average time per cycle was 10.40 minutes, and the standard deviation was 1.20 minutes for a worker with a performance rating of 125 percent. Assume an allowance of 16 percent of job time. Find the standard time for this operation.

Exercise 10-10 Record stock dividends and stock splits (LO6) On September 1, the board of directors of Colorado Outfitters, Inc., declares a stock dividend on its 19,000, $10 par, common shares. The market price of the common stock is $39 on this date. Record the stock dividend assuming a large (100%) stock dividend. (If no entry is required for a transaction/event, select "No journal entry required" in the first account field.)

Answers

The journal entry records a 100% stock dividend by increasing the common stock dividend distributable account with the par value of the stock dividend.

To record the stock dividend assuming a large (100%) stock dividend for Colorado Outfitters, Inc., on September 1, you would make the following journal entry:

Date: September 1

Stock Dividend (Par Value)

Common Stock Dividend Distributable (Par Value)

[To record the issuance of stock dividend]

Explanation: In this entry, you increase the common stock dividend distributable account with the par value of the stock dividend and split. Since it's a 100% stock dividend, the number of shares issued will be equal to the existing shares.

Debit: Stock Dividend (Par Value) = 19,000 shares x $10 par value = $190,000

Credit: Common Stock Dividend Distributable (Par Value) = $190,000

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Factors that place doubt on the going concern assumption include

A. omissions in the financial statements, falling behind competitors, and shortage of raw materials.

B. falling behind competitors, shortage of raw materials, and significant debt-to-equity ratio.

C. errors in the financial statements, falling behind competitors, and shortage of raw materials.

D. red flags in the financial statements, falling behind competitors, and significant debt-to-equity ratio.

Answers

The correct option is D. Red flags in the financial statements, falling behind competitors, and significant debt-to-equity ratio are factors that place doubt on the going concern assumption.

The going concern assumption is a basic accounting principle that refers to the assumption that a company will continue to operate in the future without any planned liquidation or significant changes in its operations. The financial statements that an organization prepares are based on the assumption of going concern. This implies that the company will be able to continue operations in the future without any significant threats.

The going concern assumption allows businesses to maintain the financial and accounting records needed to comply with legal and regulatory requirements. When significant doubt about the going concern assumption is raised, it is an indication that the company may be at risk of ceasing its operations, and it could be challenging to meet its financial obligations.

Factors that place doubt on the going concern assumption include red flags in the financial statements, falling behind competitors, and a significant debt-to-equity ratio. These are some factors that may indicate that the company is experiencing financial problems that may make it difficult to continue operations in the future. The correct option is D.

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given the following information is the variance favorable or unfavorable? flexible budget sales $100,000 actual sales $95,000
a. favorable
b. unfavorable

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Option b is correct. The following information is the variance is unfavorable due to negative value.

We must compare the actual sales with the flexible budget sales and comprehend the situation's context to determine whether the deviation is positive or unfavorable.

The flexible budget sales in this scenario are $100,000, but the actual sales are $95,000. We deduct the actual sales from the flexible budget sales to determine the variance:

Actual Sales - Flexible Budget Sales = variance.

Difference: $95,000 - $100,000

Variance = $5,000.

We can infer that the variance is unfavorable because it is negative (shown by the minus sign).

An unfavorable variance indicates that the flexible budget sales were lower than the actual sales. In this case, the company's sales did not meet expectations, leaving a $5,000 shortfall.

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_________________ allow employees in a wide variety of locations to work together on global solutions to problems.

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Virtual collaboration platforms allow employees in a wide variety of locations to work together on global solutions to problems.

These platforms provide digital tools and communication channels that facilitate collaboration and information sharing regardless of geographical boundaries. Through virtual collaboration platforms, team members can collaborate on projects, share documents and resources, communicate through messaging or video conferencing, and coordinate their efforts effectively.

These platforms promote cross-cultural collaboration, enable real-time collaboration, and enhance productivity by bringing together diverse expertise and perspectives. They are essential for organizations with geographically dispersed teams, remote work arrangements, or global operations, enabling seamless collaboration and fostering innovation and efficiency across borders.

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Sandhill Company has the following information available for accruals for the year ended December 31, 2020. The company adjusts its accounts annually.
1. The December utility bill for $405 was unrecorded on December 31. Sandhill paid the bill on January 11.
2. Sandhill is open 7 days a week and employees are paid a total of $5,740 every Monday for a 7-day (Monday–Sunday) workweek. December 31 is a Thursday, so employees will have worked 4 days (Monday, December 28–Thursday, December 31) that they have not been paid for by year-end. Employees will be paid next on January 4.
3. Sandhill signed a $48,000, 5% bank loan on November 1, 2020, due in 2 years. No interest payments were made in 2020. Interest for 2020 was paid on January 1, 2021.
4. Sandhill receives a fee from Pizza Shop next door for all pizzas sold to customers using Sandhill’s facility. The amount owed for December is $260, which Pizza Shop will pay on January 4. (Hint: Use the Service Revenue account.)
5. Sandhill rented some of its unused warehouse space to a client for $5,500 a month, payable the first day of the following month. It received the rent for the month of December on January 2.
For each situation, prepare the adjusting entry required at December 31. (Credit account titles are automatically indented when the amount is entered. Do not indent manually. Round answers to 0 decimal places, e.g. 5,275.)

Answers

1. Debit Utility Expense $405, credit Accounts Payable $405.

2. Debit Salary Expense $2,870, credit Accrued Salaries Payable $2,870.

3. Debit Interest Expense $800, credit Interest Payable $800.

4. Debit Accounts Receivable - Pizza Shop $260, credit Service Revenue $260.

5. Debit Accounts Receivable - Rent $5,500, credit Rent Revenue $5,500.

How to prepare adjusting entries for Sandhill Company on December 31, 2020?

To prepare the adjusting entries for the accruals mentioned, we need to consider the timing and recognition of expenses and revenues. Here are the adjusting entries for each situation:

1. Utility Expense:

  Debit: Utility Expense $405

  Credit: Accounts Payable $405

2. Salary Expense:

  Debit: Salary Expense $2,870 (($5,740 / 7) * 4)

  Credit: Accrued Salaries Payable $2,870

3. Interest Expense:

  Debit: Interest Expense $800 (($48,000 * 5%) / 12)

  Credit: Interest Payable $800

4. Accounts Receivable (Service Revenue):

  Debit: Accounts Receivable - Pizza Shop $260

  Credit: Service Revenue $260

5. Rent Receivable (Rent Revenue):

  Debit: Accounts Receivable - Rent $5,500

  Credit: Rent Revenue $5,500

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You have just tumed 30 years old, have just received your MBA, and have accepted your first job. Now you must decide how much money to put into your retrement plan. You are required to specify a food percentage of your salary that you want to contribute. Assume that your starting salary is $75,000 per year and it will grow 2% per year until you retire. Every dollar in the plan earns 7% per year. You cannot make withdrawals until you retire on your sixty-fifth birthday. After that point, you can make withdrawals as you see ft. You decide that you wil plan to live to 100 and work until you turn 65. You estimate that to live comfortably in retirement, you will need $100,000 per year starting at the end of the first year of retirement and ending on your 100th birthday. What percentage of your income do you need to contribute to the plan every year to fund your retirement income? The fraction of your salary that you should save is Round to two decimal places)

Answers

To determine the percentage of your income that you need to contribute to the retirement plan, we will calculate the annual contribution required to fund your retirement income.

Given:

Starting salary = $75,000 per year

Salary growth rate = 2% per year

Desired retirement income = $100,000 per year

Retirement age = 65

Estimated lifespan = 100

Return on investment = 7% per year

To calculate the required annual contribution, we can use the formula for the present value of an ordinary annuity:

PV = PMT * ((1 - (1 + r)^(-n)) / r)

Where:

PV is the present value (desired retirement income)

PMT is the annual contribution

r is the interest rate per period

n is the number of periods (years in retirement)

First, let's calculate the number of years in retirement:

Years in retirement = Estimated lifespan - Retirement age

Years in retirement = 100 - 65 = 35

Now, let's calculate the present value (PV) using the desired retirement income and the number of years in retirement:

PV = $100,000 * ((1 - (1 + 0.07)^(-35)) / 0.07)

PV = $100,000 * (1 - 0.01308008) / 0.07

PV = $100,000 * 0.98691992 / 0.07

PV = $1,384,988.91

Next, let's calculate the future value of your salary at the end of your working period (at age 65):

Future salary = $75,000 * (1 + 0.02)^40

Future salary = $75,000 * 1.488428376

Future salary = $111,631.63

Now, we can calculate the required annual contribution (PMT) using the present value (PV) and the future salary:

PV = PMT * ((1 - (1 + 0.07)^(-n)) / 0.07)

$1,384,988.91 = PMT * ((1 - (1 + 0.07)^(-40)) / 0.07)

$1,384,988.91 = PMT * (1 - 0.20877710) / 0.07

$1,384,988.91 = PMT * 0.79122290 / 0.07

PMT = $1,384,988.91 * 0.07 / 0.79122290

PMT = $122,869.95

Finally, let's calculate the percentage of your income that you need to contribute each year:

Percentage = (Annual contribution / Salary) * 100

Percentage = ($122,869.95 / $75,000) * 100

Percentage = 163.82%

Therefore, you need to contribute approximately 163.82% of your income each year to fund your retirement income. Please note that this percentage exceeds 100%, which may not be feasible or realistic. You may need to adjust your retirement income goals or consider other financial strategies to achieve your retirement objectives.

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Why is a proprietary good necessary for a firm to chose to become a multinational?

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A proprietary good is necessary for a firm to choose to become a multinational because it enables the company to control the production and distribution of the good and prevent other companies from duplicating it.

A multinational corporation (MNC) is a company that operates in many countries, with production or service facilities outside of its country of origin. They usually have a centralized management structure, but each location or country in which they operate has its own set of rules and regulations.

A company's decision to become a multinational corporation is influenced by a variety of factors, including but not limited to the following: Resource availability. Competitive environment market potentialThe chance to develop a product or service with international appeal opportunities for investment and business diversification. Growth and global expansion opportunities proprietary good is necessary for a firm to choose to become a multinational because it enables the company to control the production and distribution of the good and prevent other companies from duplicating it. This is important because the company can benefit from a competitive edge in the market. By keeping their proprietary goods secret, they can stay ahead of the competition and protect their intellectual property rights, resulting in a long-term competitive advantage.

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International anti-competitive conduct that would be a violation if it occurred in the U.S., and that affects imports into the U.S., is considered a violation of U.S. law. True /False?

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International anti-competitive conduct that would be a violation if it occurred in the U.S and that affects imports into the U.S., is considered a violation of U.S. law - True

Any action that disobeys the law is considered a violation. Crimes and civil wrongs are both considered violations in most cases. Fraud is one action that can break both civil and criminal laws. Some behaviors, such as fraud, are against both civil and criminal laws. International anti-competitive behaviour that impacts imports into the US and would be illegal if it took place there is regarded as illegal under US law.

The United States upholds fair trade practises and enforces its laws to defend domestic markets against unfair competition. Therefore, due to this, foreign anti-competitive behaviour that affects imports into the United States may be subject to legal action and punishment under U.S. law.

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Living Ornaments is offering a special for wedding planners. Wedding flower orders totaling over $500 receive a 10% discount, over $750 a 15% discount, over $1,000 a 20% discount. All orders $1,500 an

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Living Ornaments offers wedding planners discounts based on total order value to incentivize larger flower orders and provide cost savings.

Living Trimmings is offering an extraordinary rebate for wedding organizers in light of the aggregate sum spent on wedding blossom orders. The markdown rates are as per the following:

Orders adding up to more than $500 get a 10% rebate.

Orders adding up to more than $750 get a 15% rebate.

Orders adding up to more than $1,000 get a 20% rebate.

For all orders adding up to $1,500 or more, a custom rebate will be given.

This exceptional proposition expects to boost wedding organizers to put in bigger blossom requests, furnishing them with cost reserve funds in view of the absolute request esteem. The markdown levels urge clients to arrive at higher spending edges to profit from more prominent reserve funds.

By offering these limits, Living Trimmings intends to draw in additional business from wedding organizers and furnish them with serious estimating choices for their blossom game plans.

This extraordinary proposition permits wedding organizers to designate a greater amount of their spending plan to different parts of the wedding while as yet getting excellent flower embellishments from Living Trimmings.

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The complete question is:

. Living Ornaments is offering a special for wedding planners. Wedding flower orders totaling over $500 receive a 10% discount, over $750 a 15% discount, over $1,000 a 20% discount. All orders $1,500 and above receive a 25% discount. The delivery charge is $75 on weekdays and $125 on weekends. Terms are 2/10 EOM. WeddingsRUs placed an order for Thursday, June 1, delivery. The list price on the chosen flowers totals $848.50.

Cheryl is single, has one child (age six), and files as head of household during 2021. Her salary for the year is $19,700. She qualifies for an earned income credit of the following amount.
a. $0.
b. $3,580.
c. $3,589.
d. $3,618.

Answers

Cheryl is single, has one child (age six), and files as head of household during 2021. Her salary for the year is $19,700. She qualifies for an earned income credit of the following amount (d)$3,618.

To determine their earned income credit score (EIC) Cheryl, we want to bear in mind her filing repute, income, and the variety of qualifying youngsters she has.

In this case, Cheryl is submitting as head of household and has one qualifying toddler. The most EIC quantity for one qualifying toddler in 2021 is $3,618.

However, the real EIC amount is calculated based on a sliding scale, progressively phasing out because the taxpayer's income will increase. The EIC gradually increases as earned profits rises till reaching the maximum credit amount, and then it starts off evolving to phase out.

In Cheryl's case, her profits for the 12 months are $19,700. To decide the exact EIC amount, we want to refer to the EIC table supplied by means of the Internal Revenue Service (IRS). The EIC table outlines the profits thresholds and corresponding credit score quantities for one-of-a-kind filing statuses and the wide variety of qualifying youngsters.

Without the precise profits thresholds from the EIC table, it's far tough to provide an accurate calculation. However, primarily based on the records supplied, we will conclude that Cheryl's EIC amount would be much less than or the same as the most EIC quantity for one qualifying infant, which is $3,618.

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Q.2 Arham rising Inc, makes paragliders for sale through specialty sporting goods stores. The company has a standard paraglider mode, but also makes custom designed paragliders. Management has designed an activity based costing system with the following activity cost pools and activity rates:

Answers

The company's use of activity cost pools and activity rates allows for a comprehensive analysis of the costs associated with manufacturing paragliders.

Arham Rising Inc. has implemented an activity-based costing system to allocate costs accurately. The company has identified several activity cost pools and their respective activity rates.

This approach allows them to understand the costs associated with different activities in their paraglider manufacturing process. By utilizing activity-based costing, Arham Rising can determine the true costs involved in producing both standard and custom-designed paragliders.

Activity-based costing allocates costs based on the activities that drive those costs, providing a more precise cost estimation. It helps management identify the activities that consume resources and assign costs accordingly. This system enables Arham Rising to make informed decisions regarding pricing, product mix, and resource allocation.

By understanding the cost drivers, Arham Rising can optimize its production processes, enhance profitability, and make strategic decisions to remain competitive in the specialty sporting goods market.

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