how many btus were consumed in the united states in 2017 by consumers that used petroleum as a fuel source? a 62 quadrillion btus b 28 quadrillion btus c 36 quadrillion btus d 97 quadrillion btusof energy in 2017, with 37% coming from petroleum (36.1 quadrilli on Btus), 29% from natural gas (28.3 quadrillion Btus), 14% from coal (13.7 quadrillion Btus)

Answers

Answer 1

In 2017, the total energy consumption in the United States was 97 quadrillion Btus. The correct answer is option d.

Out of this, consumers that used petroleum as a fuel source accounted for 37% of the total energy consumption, which is equivalent to 36.1 quadrillion Btus.

This indicates that petroleum was the primary source of energy for consumers in the US in 2017, followed by natural gas and coal, which accounted for 29% and 14% of total energy consumption, respectively. The remaining energy was generated from renewable sources such as solar, wind, hydropower, and geothermal.

The high consumption of petroleum by consumers in the US highlights the need for greater investment in renewable energy sources and the development of more sustainable energy practices to reduce reliance on non-renewable energy sources and address climate change concerns.

The correct answer is option d.

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Related Questions

I NEED HELP FAST!!
Peter is assisting with a report that will forecast sales for the next year. He has been asked
to collate sales data for the previous five years in different seasons. He understands that
will help account for seasonal trends. What kind of sales forecast report is Peter working
on?
n
Peter is working on a
report to forecast sales.
Delphi method
time series analysis
sales force estimation
sales forecasting
It is not the last one. I already tried it.

Answers

Answer:

Time Series Analysis

Explanation:

Time Series Analysis is the process of forecasting sales through the means of looking at a certain range of time from the past.

Delphi method is the use of public opinion to form data and Sales force estimation is for future sales and not past ones.

ж I NEED HELP!
Read the whole question Before answering!

Q. Imagine you are a fashion designer. Research on how to start your own fashion clothing brand.
Write down the process you need to follow to start your own fashion clothing brand.
Think about the conditions one has to meet to ensure the quality of the clothes (manufacturing and the cost of clothes).
If possible draw the flow chart to describe the steps, which will be taken by the fashion designer (or you) in making a decision.

I might give Brainliest to the one who answers correctly along with the flow chart.

Answers

The process you need to to start a fashion clothing brand.

Fist step is to recognized the fashion need in the market. Create your business plan. Know your specific audience. Start drawing and then designing the clothlook for a good clothing makerChoose and Make a brand name, logo, etc.Set a target price and start marketing/distribution process..

What is Clothing Brand?

This is known to be that key Identification that pertains to a given Manufacturer and it is one that is only used in the line of business such as manufacturing, distributing, etc., of clothes.

Note that by flowing the steps above, one can make a great fashion brand in the long run.

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A 1,000 par value bond that pays interest annually just paid $99.00 in interest. What is the coupon rate?

Answers

The coupon rate of the bond is 9.9%, calculated by dividing the annual interest payment of $99 by the par value of $1,000 and multiplying by 100.

The coupon rate of a bond can be calculated by dividing the annual interest payment by the par value of the bond. In this case, the bond has a par value of $1,000 and it pays interest annually. The bond just paid $99.00 in interest. To calculate the coupon rate, divide the interest payment by the par value and multiply by 100 to express it as a percentage.

Coupon Rate = (Annual Interest Payment / Par Value) * 100

In this case, the annual interest payment is $99.00 and the par value is $1,000.

Coupon Rate = ($99.00 / $1,000) * 100

Coupon Rate = 0.099 * 100

Coupon Rate = 9.9%

Hence, the coupon rate of the bond is 9.9%.

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The practice of ___ is harmful because it can reduce and divert revenues
and also threaten the security of accounting systems.
A. competitive advantage
B. piracy
C. firewalls
D. a codes of ethics

Answers

Answer:

Explanation:

B. Piracy

A 3rd degree burn has burnt only part of the epidermis. the epidermis only. the epidermis and dermis. the epidermis and part of the dermis.

Answers

A 3rd degree burn has burnt the epidermis and part of the dermis. Option 3 is the correct answer.

A 3rd degree burn is a severe burn that extends through the entire thickness of the skin. In a 3rd degree burn, the epidermis, which is the outermost layer of the skin, and part of the dermis, which is the layer beneath the epidermis, are affected. This type of burn destroys the full thickness of the epidermis and can extend into the deeper layers of the dermis.

The epidermis serves as a protective barrier for the body, preventing the entry of harmful substances and pathogens. It also helps regulate body temperature and plays a role in the production of vitamin D. The dermis provides structural support, contains blood vessels, nerve endings, sweat glands, and hair follicles.

Due to the severity of the injury, 3rd degree burns often require medical intervention and specialized treatment. They can result in extensive tissue damage, loss of sensation, and impaired healing. Treatment may involve surgical interventions, such as skin grafting, to promote healing and minimize the risk of infection. Rehabilitation and long-term care are often necessary to manage the physical and psychological effects of a 3rd degree burn.

Hence, option 3 is the right choice.

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Which of the following would be a good argument to buy rather than lease? a. ""Money is really tight. I need the lowest possible monthly payment. "" b. ""It is very important for my image to drive the newest cars available. "" c. ""I’m only going to need it for a few years before I move back to Great Britain. "" d. ""I would prefer to walk out of the deal in the end with something to show for the money I put in. "" Please select the best answer from the choices provided A B C D.

Answers

When we buy something it becomes our property after purchase but not in the case of lease agreement. Thus, the correct option is "I would like to walk out of the deal with something to show for the money I put in,"

What exactly is a lease?

A lease is a legal agreement in which a user agrees to pay the owner for the use of an item.

This differs from buying, in this the property turns into the users' assets after purchase; nonetheless, those who "would want to walk out of the deal with something to show for the money I put in" can choose to buy rather than lease.

Thus, Option D is the correct answer.

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Answer:

d

Explanation:

Hey, can I please get some help? Thank you!

Hey, can I please get some help? Thank you!

Answers

Lower interest rates make it cheaper to borrow. This tends to encourage spending and investment. This leads to higher aggregate demand (AD) and economic growth.

2.When interest rates are rising, both businesses and consumers will cut back on spending. This will cause earnings to fall and stock prices to drop. ... As interest rates move up, the cost of borrowing becomes more expensive. This means that demand for lower-yield bonds will drop, causing their price to drop.

true or false? you should revisit your kpis every 18 months.

Answers

Answer:

false

have a nice day!!!

an oligopoly is an industry market structure with part 2 a. a single firm in which the entry of new firms is blocked. b. a small number of firms each large enough to impact the market price of its output. c. many firms each too small to impact the market price. d. many firms each able to differentiate their product.

Answers

A market structure known as an oligopoly has a small number of enterprises that are individually sufficiently large to have an impact on the market price of their output.

How does the oligopoly market structure work?

In oligopoly markets, a limited number of suppliers control the market. They are present in every nation and a wide variety of industries. While some oligopoly markets are much more competitive than others, others can at least appear to be so.

Describe an oligopoly. Part 2 Is a market arrangement called an oligopoly?

A market structure known as an oligopoly is one that has few competitors and high entrance barriers. An oligopoly is a market structure with few competitors and entrance restrictions. As each company decides on prices, quantities, and advertising to maximize profits, there is frequently intense competition between businesses.

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economics is primarily concerned with the study of

Answers

production, consumption, and the transfer of wealth

What is influencing the change in cost of garden hoses worldwide ?

A. german economy
B. U.S economy
C. Internet Availability
D. Hose availability

Answers

Answer:

D. Hose availability

Explanation:

during year 2, el paso company had the following changes in account balances: the accumulated depreciation account had a beginning balance of $25,000 and an ending balance of $35,000. the increase was due to depreciation expense. the long-term notes payable account had a beginning balance of $40,000 and an ending balance of $15,000. the decrease was due to repayment of debt. the equipment account had a beginning balance of $25,000 and an ending balance of $92,500. the increase was due to the purchase of other operational assets. the long-term investments account (marketable securities) had a beginning balance of $18,000 and an ending balance of $12,500. the decrease was due to the sale of investments at cost. the dividends payable account had a beginning balance of $12,000 and an ending balance of $10,000. there were $20,000 of dividends declared during the period. the interest payable account had a beginning balance of $2,250 and an ending balance of $1,250. the difference was due to the payment of interest. what is the net cash flow from financing activities? group of answer choices $22,000 inflow $25,000 outflow $25,000 inflow $47,000 outflow

Answers

The net cash flow from financing activities for El Paso Company during year 2 was a net cash outflow of  $25,000 , due to decreases in long-term liabilities and equity accounts

To calculate the net cash flow from financing activities, we need to look at the changes in the company's long-term liabilities and equity accounts. In this case, we can see that:

Long-term notes payable decreased by $25,000 (from $40,000 to $15,000) due to repayment of debt.

Dividends payable decreased by $2,000 (from $12,000 to $10,000) due to payment of dividends.

Interest payable decreased by $1,000 (from $2,250 to $1,250) due to payment of interest.

Therefore, the total net cash flow from financing activities is:

Net cash flow = Decrease in long-term notes payable + Decrease in dividends payable + Decrease in interest payable

Net cash flow = (-$25,000) + (-$2,000) + (-$1,000)

Net cash flow = -$28,000

Since the cash flow is negative, it means that the company had a net cash outflow from financing activities of $28,000. Therefore, the correct answer is $28,000 outflow. None of the options given matches this answer, so the closest answer is $25,000 outflow

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What does the media use to influence consumer behavior?


risk aversion

marginal analysis

rational choice

product placement

Answers

Answer: If ur asking what I think ur asking then I think the last one, product placement, is used to influence consumer behavior because if the product is placed right and looks pleasing to the consumer then they will buy it. Hope this helped : )

Product placement is a strategy commonly employed by the media to influence consumer behavior. Hence, Option (D) is correct.

Product placement involves the intentional integration of branded products or services within media content, such as movies, TV shows, or online videos.

By featuring specific products in these forms of media, advertisers aim to create brand awareness, generate positive associations, and influence consumer preferences and purchasing decisions.

The media strategically places products within the content to ensure they are seen by the audience, often in a subtle or seamless manner.

This technique leverages the power of storytelling and the influence of popular media to promote and endorse specific brands or products, ultimately impacting consumer behavior.

Through product placement, the media can effectively shape consumer perceptions, generate desire for certain products, and drive consumer choices.

Thus, Option (D) product placement is a widely used tool in advertising and marketing campaigns to influence consumer behavior and increase brand recognition and sales.

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What does the media use to influence consumer behavior?

A) risk aversion

B)marginal analysis

C)rational choice

D)product placement

Buster has had a serious medical condition for many months. He has used up all of his sick leave and vacation days, as well as 10 weeks of intermittent Family Medical Leave Act leave. He asks for an additional two weeks off. Which of the following is true? A. Buster's employer can fire him because he wants to take more leave B. Buster cannot be fired for reasons aside from his need to take leave. C. Buster cannot take any more leave if he has also used up his sick leave and vacation days. D. Buster is entitled to the leave he is asking for.

Answers

Answer:

C. Buster cannot take any more leave if he has also used up his sick leave and vacation days.

Explanation:

Buster has used up all the sick leaves and the vacation leaves and is asking for additional two more weeks off even after taking the ten-week of intermediate family leave he should be not allowed to take more leaves. Through he cannot be fired due to his serious condition but if he has finished all the sick leaves he should not be given.

Answer:

b

Explanation:

Buster has had a serious medical condition for many months. He has used up all of his sick leave and

Banks do not hold a lot of their assets in the form of cash mainly because of:
a. regulation.
b. the fear of being robbed.
c. the opportunity cost of holding cash, cash does not earn interest.
d. it can encourage employee theft.

Answers

Banks do not hold a lot of their assets in the form of cash mainly because of  the opportunity cost of holding cash, cash does not earn interest.  The correct option is C.

Opportunity costs are the possible advantages that a person, investor, or company forgoes while deciding between two options. It is necessary to weigh the advantages and disadvantages of each choice offered in order to correctly assess opportunity costs.

The interest that could have been made if the cash had been used to buy bonds instead is the opportunity cost of keeping any money balance.

Therefore, due to the  opportunity cost of holding cash and cash does not earn interest banks does nor prefer to hold a lot of their assets in the form of cash .

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ASAP I need help.
Create a list of five action verbs you might use on a job application to describe skills and/or work history. Here are some examples: (organized, produced, selected, coordinated, contributed). Find five other than the examples.

Answers

Progressed, succeeded, achieved, determined, advanced

Internal Stakeholders → Exhibition that is open to the public, usually requiring an entrance fee.

True

False

Answers

Answer:

Explanation:

t



The Answer to this question is False

how much output can this cheese manufacturer produce if it employs four workers?

Answers

More information is needed to determine the output that the cheese manufacturer can produce with four workers.

The amount of output that a cheese manufacturer can produce with four workers depends on several factors, such as the size of the production facility, the equipment used, the complexity of the production process, and the level of worker expertise.

To determine the production output, a manufacturer may use different methods such as time and motion studies, productivity metrics, and capacity planning. Time and motion studies help identify inefficiencies in the production process and optimize workflow.

Productivity metrics such as units produced per worker or per hour can provide insights into the efficiency of the production process. Capacity planning involves estimating the production capacity based on the available resources such as labor, equipment, and materials.

In summary, the amount of output a cheese manufacturer can produce with four workers depends on several factors, and it's difficult to provide a specific answer without more information about the manufacturer's production process.

However, by using various production management methods, a manufacturer can optimize its production output and improve efficiency.

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Promoción de fabricante y de establecimiento (diferencias)

Answers

Answer:

Become a biusness man

Explanation:

Owners invest $30,000 cash. 5: Buy machine for $5,000 cash. 10: Buy supplies on account, $980 15: Perform

Answers

Owners invest $30,000 cash on starting their business. On the 5th day, they buy machinery for $5,000 cash. Then, on the 10th day, they purchase supplies on account worth $980. On the 15th day, they perform the services.

When a business starts, owners can invest their cash. In this case, the owners invest $30,000 cash to start their business. After five days, the business buys a machine for $5,000 in cash. Therefore, the business's cash balance will reduce by $5,000, and the value of the machinery will be included in the balance sheet.

Supplies are purchased on account on the 10th day worth $980, which is a liability for the company since it is a payable, and it will be paid in the future. Thus, this amount is not deducted from the cash balance in the cash flow statement. However, it will increase accounts payable, which will be shown in the balance sheet of the company.

On the 15th day, the business performs its services. This is a source of income, which will be shown in the income statement. The income statement includes information on how much revenue the company earned and how much expenditure it incurred during the particular time period.

So, the main answer is that the business owners invested $30,000 cash, bought a machine for $5,000 cash, purchased supplies on account worth $980, and performed their services on the 15th day.

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the proprietor introduce another $5000 cash in to the firm​

Answers

The firm paid out $5,000 in cash. The equation stays in harmony. >> Property. 5. Financial Interest.

What does existing proprietor mean?A sole proprietor is an individual who owns an unincorporated business on his or her own. A proprietor is defined as someone who owns or runs a business. A shoe shop proprietor is an example of a proprietor. 1. An only proprietor is the sole owner of an unincorporated enterprise. The business owner, also known as a proprietor or a trader, uses their legal name to conduct business. They can also choose to do business under a different name by registering a trade name with their local government. the owner of a business, a hotel, etc. a person who has the sole right or title to something; an owner, as of real estate a group of proprietors; exclusive.

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paid out $125,000 in dividends last year. the company has 500,000 shares outstanding with a current stock price of $45 per share. both the number of shares and the dividend payout ratio are constant. what is the required rate of return (discount rate) if the dividend growth rate is 4.6 percent?

Answers

The required rate of return (discount rate) for this company is 5.16% if the dividend growth rate is 4.6 percent and both the number of shares and the dividend payout ratio are constant.

To calculate the required rate of return (discount rate), we can use the dividend discount model. The formula for this model is:
Current Stock Price = Dividend per Share / (Required Rate of Return - Dividend Growth Rate)
We know that the company paid out $125,000 in dividends last year and has 500,000 shares outstanding. This means that the dividend per share is:
Dividend per Share = Dividend Paid / Number of Shares
Dividend per Share = $125,000 / 500,000
Dividend per Share = $0.25
We also know that the current stock price is $45 per share and the dividend growth rate is 4.6 percent. Plugging these values into the formula above, we can solve for the required rate of return:
$45 = $0.25 / (Required Rate of Return - 4.6%)
$45 * (Required Rate of Return - 4.6%) = $0.25
Required Rate of Return - 4.6% = $0.25 / $45
Required Rate of Return - 4.6% = 0.00556
Required Rate of Return = 4.6% + 0.00556
Required Rate of Return = 0.05156 or 5.16%

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Why is taking breaks important when working in a fast-paced environment? question 5 options:
a. it's a good way to get help with a project.
b. it ensures you don't do more work than others.
c. it helps keep your energy level high.
d. it helps you to do multiple tasks at once.

Answers

The Answer Is C: It helps keep your energy level high.

Breaks can assist to sustain performance throughout the day, reduce the need for a lengthy recuperation at the end of the day, and reduce or even eliminate stress, according to studies. According to a study, taking breaks during lunch and disconnecting from work boosts productivity and lessens fatigue. Furthermore, it was discovered a year later that it gradually improves vigour and energy levels.

Breaks for relaxation and social interaction have been found to be especially helpful. By restoring your mental and psychical functional systems to normal, a relaxing holiday can aid in healing. A relaxing break can also assist in resetting your mood, enhancing positive wellbeing and lowering stress.

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"Bronson Manufacturing is planning to issue $12 million in bonds. Based on a poll of potential investors, they have the highest chance of raising the funds they need with one of four sets of bond characteristics. Which option would cost them the MOST in total interest over the life of the bond

Answers

Answer:

C.eight-year bond with 5.5% annual interest rate

Explanation:

The computation of the total options under each option is as follows:

As we assume the par value be $1,000

For Option A

Total interest

= 9.5% × $1,000 × 3 years

= $285

For Option  B      

Total interest is

= 7.25% × $1,000 × 4 years

= $290

For Option C

Total interest is

= 5.5% × $1,000 × 8 years

= $440

For Option D

Total interest is

= 6% × $1,000 × 6 years

= $360

As we can see that the option C contains high value of the total interest. So the same is to be selected

Question 1 of 10
The primary remedy for a tort is
A. monetary compensation
B. imprisonment
C. arrest
D. defamation

Answers

Answer:

A. monetary compensation

Explanation:

The main remedy against tortious loss is compensation in damages or money. In a limited range of cases, tort law will tolerate self-help, such as reasonable force to expel a trespasser. This is a defense against the tort of battery.

Hope this helped!!!!

15 What is meant by product life cycle pricing?
The pricing needs to be increased at each stage in a product’s
life cycle.
The pricing of new products needs to start out high and end
low.
The pricin

Answers

The product life cycle pricing is the process by which prices of the products are set and controlled over the lifetime of the product. This pricing strategy takes into consideration the four stages of the product life cycle: introduction, growth, maturity, and decline. At each stage of the product life cycle, the price of the product may change based on various factors.

Introduction stage: This stage marks the launch of a new product. During this stage, the demand for the product is low, and the company focuses on creating brand awareness. The pricing strategy used at this stage is known as penetration pricing. The price of the product is set low to attract customers and gain market share.Growth stage: During this stage, the product experiences an increase in demand, sales, and profits. The pricing strategy used at this stage is known as skimming pricing. The price of the product is increased as it gains market share and becomes more popular.

Maturity stage: This stage marks a decline in sales growth and profits. The pricing strategy used at this stage is known as competitive pricing. The price of the product is lowered to compete with other products on the market.Decline stage: During this stage, the demand for the product decreases, and the product becomes less profitable. The pricing strategy used at this stage is known as liquidation pricing. The price of the product is lowered to clear out inventory and sell off remaining stock.Overall, product life cycle pricing involves adjusting the price of a product at each stage of its life cycle to ensure that it remains competitive and profitable. The pricing strategy used at each stage is determined by the market conditions and the goals of the company.

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Which of the following is a true statement?
1) FAS Market Development and Export Assistance partners with over 100 cooperator groups
2) FTC stands for Federal Trade Commission
3) FAS stands for Federal Agricultural Sector
4) Imports are goods produced in one country then shipped to another country​

Answers

Answer:

2) FTC stands for Federal Trade Commission

Explanation:

The true statement is that, FTC stands for Federal Trade Commission.

The Federal Trade Commission (FTC) is an agency of the government of the United States of America saddled with the responsibility of promoting consumer protection and the enforcement of all civil antitrust laws.

Basically, the laws formulated or established by the FTC are to provide protection for consumers of various goods and services while requiring that businesses do not make false claims about them. Also, the Federal Trade Commission (FTC) is responsible for competition regulations among manufacturers of goods and services provided for the consumers.

What is it called when businesses are doing poorly and stock prices drop?

Answers

Answer:

When a stock price falls, that means the company must sell additional shares of stock to raise the same amount of proceeds

Explanation:

Which area is particularly challenging when recruiting workers for small businesses?.

Answers

The area that is particularly challenging when recruiting workers for small businesses is compensation.

What is compensation?

It should be noted that compensation simply means how much they workers will be paid as how to motivate them.

In this case, the area that is particularly challenging when recruiting workers for small businesses is compensation.

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Before seeking financial backing for his new business, Tyler puts together a concise document explaining the nature, mission, and goals of his new business and its expected costs and potential. Tyler has constructed a

Answers

Answer:

Business plan

Explanation:

A business plan is an outline that shows the objective of a business, the methods by which these objectives can be achieved, and the time frame within which the the goals need to be attained.

It serves as a roadmap that shows strategies a business intends to use to attain it's financial projections.

Before seeking financial backing for his new business, Tyler puts together a concise document explaining the nature, mission, and goals of his new business and its expected costs and potential. This is a business plan that needs to be in place before Tyler seeks financial backing

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Find the next two terms of the sequence:5, 15, 45, 135, 405, 1215The next two terms of the sequence are blank and blank 100 pointswhats this mean Do you move your finger like a skier or snowboarder? What do you notice? A solid aluminum cube has sides each of length L . A second cube of the same material has sides four times the length of the first cube; i.e., 4 L . Compared to the first cube, the total surface area of the second cube is 1. twenty-seven times the first cube. 2. sixteen times the first cube. 3. sixty-four times the first cube. 4. eight times the first cube. 5. twenty-four times the first cube. 6. two times the first cube There is 20 million m of water in a lake at the beginning of a month. Rainfall in this month is a random variable with an average of 1 million m and a standard deviation of 0.5 million m. The monthly water flow entering the lake is also a random variable, with an average of 8 million m and a standard deviation of 2 million m. Average monthly evaporation is 3 million m3 and standard deviation is 1 million m. 10 million m of water will be drawn from the lake this month. a Calculate the mean and standard deviation of the water volume in the lake at the end of the month. b Assuming that all random variables in the problem are normally distributed, calculate the probability that the end-of-month volume will remain greater than 18 million m. which of the following is the most common type of audit for an individual taxpayer? a.office audit. b.correspondence audit. c.telephone audit. d.service center audit. e.field audit. Which of the following represents the function f(x) = 5x^(2) + 20x + 25 in vertex form. Identify the vertex. What is the predominant type of muscle in the image?(A) skeletal(B) cardiac(C) smooth(D) tendon All infants need to be observed for hypoglycemia during the newborn period. Based on the facts obtained from pregnancy histories, which infant would be most likely to develop hypoglycemia Given the following data: Selling price per unit $ 2.00 Variable production cost per unit S $ 0.30Fixed production cost $ 6,000Sales commission per unit $ 0.20Fixed selling expenses $ 1,500 How much is the break-even point in dollars? A) $6,000 B) $4,000 C) $8,000 D) $10,000 E) None of the above Which of the following buildings featured four crenellated towers and glazed decoration that symbolizedBabylonian power?O a. Palace at NinevehO b. Ceremonial Complex of Darius I and Xerxes IO c. Ishtar GateO d. Nanna Ziggurat HELP!!!!A student did an experiment to determine thespecific heat capacity of an unknown metal.She heated 1.00 x 10- kg of the metal to 225Cand quickly placed it in an insulated container(negligible specific heat capacity) that contained0.0900 kg of water at a temperature of 18.0C.What is the final temperature of the water if thespecific heat capacity of the metal is2.11 x 102 J/kg.C? a. What is the rate of heat conduction through a copper plate of10mmthickness having a surface area of0.6m, if the temperature gradient across it is65C? The thermal conductivity of copper is400W/m.K. [25\%] b. Define what is meant by the emissivity of a material. Calculate the energy radiated by a heat sink with an emissivity of0.92, surface area of0.5m2at a temperature of90Cto the surroundings at25C, in one minute. [35\%] c. Water is pumped from a lower reservoir to a higher reservoir by a pump that provides20kWof shaft power. The free surface of the upper reservoir is45mhigher than that of the lower reservoir. If the flow rate of water is measured to be0.03m/s, determine the efficiency of this system and suggest reasons for the losses. [40\%] during the warm phase of enso, warmest waters are found where? Which equation is the inverse of y 16x2 1? For an experiment with 3 groups of 10 participants in each group. fcrit for alpha 0.05 = Which set of integers is listed from least to greatest.O 2,-1,-30 -3, 2,5O 0,-1, 20 -3,-9,-12 what amount should blue include as net cash provided by operating activities in the statement of cash flows? Solve the given differential equation by variation of parameters.x2y'' xy' + y = 8x Running Multiple Models to Find the Best One (1 of 3) Difficult to know in advance which machine learning model(s) will perform best for a given dataset Especially when they hide the details of how they operate Even though the KNeighbors Classifier predicts digit images with a high degree of accuracy, it's possible that other estimators are even more accurate Let's compare KNeighbors Classifier, SVC and GaussianNB 15.3.3 Running Multiple Models to Find the Best One (2 of 3) In [38]: from sklearn.svm import SVC In [39]: from sklearn.naive_bayes import GaussianNB Create the estimators To avoid a scikit-learn warning, we supplied a keyword argument when creating the Svc estimator This argument's value will become the default in scikit-learn version 0.22 In [41] estimators = { *KNeighborsClassifier': knn, 'SVC': SVC (gamma='scale'), 'GaussianNB': GaussianNB()} 15.3.3 Running Multiple Models to Find the Best One (3 of 3) Execute the models In [42]: for estimator_name, estimator_object in estimators.items(): kfold = KFold(n_splits=10, random_state=11, shuffle=True) scores = cross_val_score(estimator-estimator_object, X-digits.data, y-digits.target, cv=kfold) print (f'{estimator_name:>20}: f'mean accuracy={scores.mean(): .2%}; ' + f'standard deviation={scores.std(): .2%}') KNeighborsClassifier: mean accuracy=98.78% ; standard deviation=0.74% SVC: mean accuracy=98.72% ; standard deviation-0.79% GaussianNB: mean accuracy=84.48%; standard deviation=3.47% KNeighbors Classifier and SVC estimators' accuracies are identical so we might want to perform hyperparameter tuning on each to determine the best what is defined as a creative and collaborative process involving skills in assessment, communication, coordination, consulting, teaching, modeling, and advocacy that aims to enhance the optimum social functioning of the client served and positive outcomes for the agency?