If an investor has "diamond hands," what will they do?.

Answers

Answer 1

The term "diamond hands" is commonly used on Wall Street by investors to refer to someone who has unbreakable faith in a particular stock, and who will not sell their shares no matter how much the stock drops.

The term "diamond hands" refers to the idea that an investor who has faith in a particular stock has a steady and unwavering grip on their shares. These investors believe that the stock is fundamentally sound and that it will eventually recover from any temporary setbacks.

As a result, they are unwilling to sell their shares at a loss, no matter how much the stock may have fallen in value. Instead, they are willing to hold on to their shares for the long term, confident that the stock will eventually recover and return to its previous value.

In essence, an investor with diamond hands is someone who is willing to weather short-term volatility in the market in order to achieve long-term gains.

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Related Questions

WILL GIVE BRAINLIEST!!! Jake has been distribution manager at his company for over ten years. Unfortunately, the company has experienced a decline in profit and they are fighting to stay in business. Jake has to schedule a shipment very quickly over the next couple of weeks. Would an aircraft be a good choice for jake? why or why not? if not, provide a better alternative.

Answers

Answer:

I say yes because the shipment will get their faster, and the faster the shipment gets there the faster he gets the money to save the business.

in a monopolistic competitive industry, firms can try to differentiate their products by

Answers

in a monopolistic competitive industry, firms can try to differentiate their products by:

Branding and Advertising

A monopolistic industry is one that has very little competition from other brands and as such they dominate a particular market.

As a result of this, we can see that a monopolistic industry would have different products which they sell to the public and the best and easiest way to differentiate between them is to make use of branding and advertising.

Therefore, the correct answer is Branding and Advertising.

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To be a kindergarten teacher do you need university

Answers

there are no specific kindergarten teaching degrees (or kindergarten teaching courses), public school kindergarten teachers are required to haev at least a bachelor's degree in education. These professionals ordinarily major in elementary or early childhood education in a bachelor's degree program.

Fill in the blank. When buying a car, a _____ down payment is recommended. A) 0% B) 10% C) 20% D) 50%.

Answers

When buying a car, a C) 20% down payment is recommended.

In general , it is always a good idea to make a down payment of 10 to 20 percent. Because the more you pay as a down payment, the less interest you need to pay  the long run. This depends on the idea of balancing what you would like to pay with what you can reasonably afford.

Down payment is  initial payment of the minimum portion of the total amount applied for the  purchase. Other due amount is taken as loan amount of which the repayment schedule is set up for the details of the loan, that includes amount of payment, interest rate charged, and number of months one need to pay the entire amount .

Hence , C is the correct option

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Select the correct answer. what benefit does a 401(k) plan provide over an ira? a. a higher rate of return b. fewer investment options c. less investment risk d. on-hand financial advisors e. employer’s contribution

Answers

The main benefit that a 401(K) provides for a person over an IRA is that of e. Employer's contribution.

What separates an IRA from a 401(K)?

An Individual Retirement Account (IRA) by definition is a pension investment vehicle that is funded by the person who uses it to save for their retirement.

401(K)s on the other hand, have the benefit of being contributed to by employers. This allows for higher amounts to be invested, and lower amounts to be used for investing by the person who owns the 401(K).

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12. Real vs. Nominal (LO2, CFA2) Using the information from Problem 10, calculate the inflation rates and approximate real GDP growth rates for 2018 and \( 2019 . \)

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To calculate the inflation rates and approximate real GDP growth rates for 2018 and 2019, the specific data from Problem 10 is required.

In order to determine the inflation rates and approximate real GDP growth rates for 2018 and 2019, the relevant data provided in Problem 10 is needed. Without the specific information regarding the GDP figures and price levels for those years, it is not possible to calculate the inflation rates and real GDP growth rates. The calculation typically involves comparing the percentage change in the price level (inflation rate) and the percentage change in nominal GDP (approximate real GDP growth rate) over the given time period.

Once the necessary data is available, the inflation rates and real GDP growth rates can be calculated using appropriate formulas or calculations.

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Cultures that score high on the Uncertainty Avoidance Index
O seldom experience much stress.
O take an empirical approach to knowledge.
O enjoy ambiguity.
O value security and try to always follow the rules.

Answers

Answer:

seldom experience much stress.

Explanation:

countries that have high levels of uncertainty avoidance tend to be less stress-prone and more likely to take an empirical approach to knowledge. They also generally enjoy ambiguity and value security.

It is difficult to say definitively what the effects of scoring high on the Uncertainty Avoidance Index are, as every culture is different. However, in general, it seems that cultures that score higher on this index tend to experience more stress, take an empirical approach to knowledge, and value security more. They may also try to always follow the rules, which can lead to a feeling of rigidity.

Terry has just purchased a new car, which had a list price of $16,825. She had to pay 7. 19% sales tax, a $1,128 vehicle registration fee, and a $190 documentation fee. Terry traded in her previous vehicle, a 2003 Honda Element in good condition to use as a downpayment. The dealer paid full price for her trade in. She financed the rest of the cost over five years at an interest rate of 10. 59%, compounded monthly. What is her principal payment per month? (Round all dollar values to the nearest cent. ) Honda Cars in Good Condition Model/Year 2000 2001 2002 2003 Element $5,887 $6,080 $6,225 $6,622 Odyssey $8,450 $8,693 $8,928 $9,224 Insight $4,384 $4,661 $5,006 $5,440 Accord $6,356 $6,626 $6,817 $7,114 a. $416. 83 b. $190. 00 c. $218. 16 d. $274. 20.

Answers

The principal payment per month of the loan will be $190.00 approximately.

The answer is calculated by not giving effect to the interest amount for 5 years.

How to calculate principal per month?

The principal per month refers to the original amount borrowed divided by the number of months for which the amount is borrowed. The formula therefore to calculate principal per month will be:

\(\rm Principal\:per\:month = \dfrac{\rm Amount\: borrowed}{Number\:of\:month}\)

For the given question, the principal per month will be calculated as follows:

\(\begin{aligned} \rm Price\:of\:car &= List\:price + Sales\:tax\\\\&= \$16,825 + 7.19\%\\\\&= \$18,034.72\end\)

The principal borrowed will be list price less downpayment of the car.

\(\begin{aligned} \rm Principal\:borrowed &= \rm Price - Downpayment\\\\&= \$18,034.72 - \$6,662\\\\&=\$11,412.72\end\)

Therefore, principal per month will be:

\(\begin{aligned}\rm Principal\:per\:month &= \dfrac{11,412.72}{5 \times 12}\\\\&= \dfrac{11,412.72}{60}\\\\\\&= \$190.2\end\)

Therefore, the principal per month will be $190(approximately).

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a. Suppose you want to remove ten fish of an exotic species that have illegally been introduced to a lake. You have three possible removal methods. Assume that q1, q2 and q3 are, respectively, the amount of fish removed by each method that you choose to use so that the goal will be accomplished by any combination of methods such that q1 +q2 +q3=10. If the marginal costs of each removal method are, respectively, $10q1, $5q2, and $2.5q3, how much of each method should you use to achieve the removal cost-effectively?
b. Why isn't an exclusive use of method 3 cost-effective?
c. Suppose that the three marginal costs were constant (not increasing as in the previous case) such that MC1=$10, MC2=$5, and MC3=$2.5. What is the cost-effective outcome in that case?

Answers

When dealing with the removal of exotic species from a lake, it is important to consider the most cost-effective method. In this scenario, we have three possible removal methods with different marginal costs associated with each method.

To achieve the removal cost-effectively, we need to determine the optimal combination of methods that will remove ten fish of the exotic species. We can solve this problem using a mathematical formula, where q1, q2, and q3 represent the amount of fish removed by each method.

The formula is q1 + q2 + q3 = 10, and the marginal costs of each method are $10q1, $5q2, and $2.5q3. To achieve the removal cost-effectively, we need to find the combination of methods that will minimize the total cost.

One approach is to use the Lagrange multiplier method, which involves setting up a system of equations and finding the values of q1, q2, and q3 that satisfy the equations. The optimal combination of methods can then be calculated by solving the system of equations.

In the case where the marginal costs are constant, the cost-effective outcome can be determined by comparing the marginal costs of each method and choosing the method with the lowest marginal cost. In this scenario, the cost-effective outcome would be to use method 3, which has the lowest marginal cost of $2.5 per fish removed.

Overall, it is important to consider the marginal costs of each removal method when deciding on the most cost-effective approach to removing exotic species from a lake. By carefully evaluating the costs associated with each method, we can achieve the desired outcome in the most efficient and cost-effective manner.

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How does “principal” relate to an auto/college loan?

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The relation of “principal” to an auto/college loan is given below:

What is principal?

The term "principal" refers to the amount of money borrowed in a loan, not including interest. In an auto loan or college loan, the principal is the initial amount of money that the borrower receives from the lender.

For example, if you take out a $20,000 auto loan to purchase a car, the principal of the loan would be $20,000. This is the amount of money that you receive from the lender to purchase the car.

Interest is a fee that the lender charges the borrower for the use of the money. The interest is typically expressed as a percentage of the principal and is paid over the term of the loan.

For example, if the interest rate on the $20,000 auto loan is 5% per year and the loan term is 5 years, the total interest paid over the course of the loan would be $2,500 (5% of $20,000 per year for 5 years). This means that the total cost of the loan, including both the principal and the interest, would be $22,500 ($20,000 principal + $2,500 interest).

Hence, the principal of a loan is the initial amount of money borrowed, while interest is a fee charged by the lender for the use of the money.

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Suppose you open a money market mutual account and deposit some funds from your checking accounting into the money market mutual account. What effect, if any, will this have on M1 (increase, decrease or no effect)? What effect, if any, will this have on M2?

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When you transfer funds from your checking account to a money market mutual account, it will have no effect on M1. M1 represents the narrowest definition of the money supply, consisting of currency in circulation and demand deposits (checking accounts).

Since the funds are simply being transferred between two types of accounts within M1, the total amount in M1 remains unchanged. However, this transfer will have an effect on M2. M2 represents a broader definition of the money supply and includes M1 plus certain types of savings deposits, time deposits, and money market mutual funds. By depositing funds into a money market mutual account, you are increasing the balance in this type of account, which is considered part of M2. Therefore, the transfer will increase the overall value of M2.

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Advertising could be referred to as _____________________. making the existence of a commodity known to the public and encouraging them to buy getting the government informed about the procedures in courts none of the options making the closure of manufacturing concern

Answers

Answer:

Making the existence of a commodity known to the public and encouraging them to buy.

Explanation:

Answer:

Advertising could be referred to as  making the existence of a commodity known to the public and encouraging them to buy

Explanation:

What would need to be done to convert 21. 5 to its equivalent percent value

Answers

21.5 is equivalent to 2150 percent. To convert 21.5 to its equivalent percent value, we need to multiply it by 100. This is because percent is a way of expressing a value as a fraction of 100.

When we multiply 21.5 by 100, we get:

21.5 * 100 = 2150.

So, 21.5 is equivalent to 2150 percent.

To understand the conversion process, it's helpful to remember that percent means "per hundred." When we multiply a decimal number by 100, we are essentially scaling it up to be out of 100.

In this case, multiplying 21.5 by 100 gives us a value of 2150, which represents 2150 out of 100. This can be interpreted as 2150 parts per hundred or 2150 percent.

Converting between decimals and percents is a common mathematical operation used in various contexts, such as calculating interest rates, determining discounts, or expressing proportions. Remembering to multiply by 100 when converting a decimal to a percent helps ensure the accurate representation of the value.

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Which two renewable technologies do not rely on energy from the sun?.

Answers

Answer:

GEOTHERMAL  AND TIDAL ENERGY

Explanation:

If an increase in consumer incomes leads to a decrease in the demand for camping equipment, then camping equipment is?

Answers

The equipment is normal good.

A normal good, often known as a required good, refers to the degree of demand for the product in relation to wage growth or contraction rather than the quality of the good itself.

The link between income and demand for a typical good is elastic. To put it another way, changes in income and demand are connected positively or move in the same direction. The amount by which the quantity desired for a good changes in response to a change in the  income is measured as income elasticity of demand.

Therefore, the answer is normal goods.

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In Citation when you use the exact words from a source, you are ______________________.

Answers

Answer:

Quoting

Explanation:

or something along those lines

The answer to your question is Quoting

Two investment options are as follows.
Choice 1: Payments of $ 2500 now, $ 3000 a year from now, and $ 3560 two years from now.
Choice 2. Three yearly payments of $ 3000 starting now.
Assume interest is compounded continuously
(a) If the interest rate on savings were 6.74 %, which would you prefer? 2
(Type in 1 for Choice 1, or 2 for Choice 2)
(b) What is the interest rate that would make both choices equally lucrative? Enter an EXACT answer using a logarithm (NO DECIMALS). |

Answers

(a) Two investment options are given as follows: Choice 1: Payments of $2500 now, $3000 a year from now, and $3560 two years from now. Choice 2. Three yearly payments of $3000 starting now. Assume interest is compounded continuously.

Now, the given interest rate is 6.74%.We have to find out which option is preferred.(i) Choice 1:Payments of $2500 now is worth $2500 after 0 years.$3000 a year from now is worth 3000*e^(0.0674*1) = $3208.54 after 1 year.$3560 two years from now is worth 3560*e^(0.0674*2) = $3945.70 after 2 years.

Total amount received by choosing Choice 1 = $2500 + $3208.54 + $3945.70 = $9654.24(ii) Choice 2:Three yearly payments of $3000 starting now is worth $3000+3000*e^(0.0674*1)+3000*e^(0.0674*2) = $9413.46Total amount received by choosing Choice 2 = $9413.46Therefore, Choice 2 is preferred over Choice .

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An S corporation had the following income and expenses: Sales $240,000 Rent expense 25,000 Business meals 5,000 Interest income 1,500 Contributions to qualifying charities 600 IRC Section 179 expense 3,000 Depreciation expense 1,800 What would be reported as ordinary income on the corporation's income tax return

Answers

The amount that should be reported as the ordinary income on the income tax return of the corporation is $210,700.

Sales $240,000

Less: Rent expense  ($25,000)

Less: 50% Entertainment expense  ($2,500)

Depreciation  ($1,800)

Ordinary income $210,700

Ordinary income involved the sales amount, rent expense, 50% of entertainment expense, and the depreciation expense

Therefore, we can conclude that the amount that should be reported as the ordinary income on the income tax return of the corporation is $210,700.

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An S corporation had the following income and expenses: Sales $240,000 Rent expense 25,000 Business meals

Shawn lost $15,000 on his stock investments this past year. Which is true? (5 points)
He can deduct the loss from his property taxes.
He can recover the loss through his insurance.
He can deduct the loss from his taxable income.
He has to pay an administrative fee on the loss.

Answers

The TRUE statement about Shawn, who lost $15,000 on his stock investments this past year, is that C. He can deduct the loss from his taxable income.

Shawn's taxable income (capital gains) will be reduced by the amount of the investment loss. However, he can only recover $3,000 in each year while the remaining will be carried forward to subsequent years.

Shawn cannot recover the investment loss:

From his property taxesThrough his insuranceBy paying an administrative fee.

Thus, the true statement is C.

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What is the government's goal when providing a company with a subsidy?
a) the government only provides subsidies to poor people.
b) to manage the control of dangerous products entering the marketplace
c) to increase their supply
d ) to manage their supply

Answers

Answer:

c) to increase their supply

Explanation:

A subsidy is an incentive or motivation from the government to private businesses or individuals. Subsidies are usually in the form of cash, tax breaks, loans, or grants. The government gives subsidies to support production in the sector it wishes to promote.

Subsidies lower the cost of production to the business. Consequently, an entity increases its production quantities and can supply the market at lower prices. Subsidies, therefore, increase supplies in the market at friendly prices.

According to the data below, if Mr. X and Ms. Y have the opportunity to trade, which of the following will be mutually beneficial ? Labor Hours Required to Produce One Pair of Shoes One Loaf of Bread Mr. X 5 hours (1 hour Ms. Y 2 hours 0.5 hour 5 Ms. Y sells shoes to and buys bread from Mr. X. Ms. Y sells bread to and buys shoes from Mr. X (C) Ms. Y sells both bread and shoes to Mr. X. (D) Ms. Y buys both bread and shoes from Mr. X. (E) Ms. Y and Mr. X do not trade with each other.

Answers

Option (B) -Mr. X and Ms. Y would both benefit if Ms. Y sold him shoes and Mr. X bought bread from her.

Since Ms. Y can produce one pair of shoes in 0.5 hour and Mr. X can produce one pair of shoes in 5 hours, In the shoe industry, Ms. Y enjoys a comparative edge. Similarly, since Mr. X can produce one loaf of bread in 1 hour and Ms. Y can produce one loaf of bread in 2 hours, Mr. X has a comparative advantage in producing bread.

Therefore, it would be mutually beneficial for Ms. Y to specialize in producing shoes and for Mr. X to specialize in producing bread. They can then trade with each other: Ms. Y can sell shoes to Mr. X and buy bread from him, while Mr. X can sell bread to Ms. Y and buy shoes from her. This will result in both of them having access to both goods at a lower opportunity cost than if they had to produce both goods themselves.

Therefore, option (B), in which Ms. Y sells shoes to Mr. X and purchases bread from him, would be advantageous to both parties.

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Full Question: According to the data below, if Mr. X and Ms. Y have the opportunity to trade, which of the following will be mutually beneficial ?

Labor Hours Required to Produc e

          One Pair of Shoes    One Loaf Of bread

Mr X          5 Hour                        1 Hour

Mrs Y         2 Hour                        0.5 hour

(1) Ms. Y sells both bread and shoes to Mr. X.

(2) Ms. Y buys both bread and shoes from Mr. X.

(3) Ms. Y and Mr. X do not trade with each other.r.

the country of xenia has a small segment of electronics firms that have been building up their expertise over the last two years. this year the country began to have cheap electronic goods from its neighboring country caladonia, flood over its borders. xenia’s congress is in session and about to vote on implementing new protectionist policies to restrict electronic imported from caladonia. which of these reasons would most deftly support xenia’s congressional actions?

Answers

Xenia needs to protect itself and protect its infant electronics industry. (third option)

What are protectionist policies?

Protectionist policies are policies enacted by a country to protect its domestic industries from foreign competition. Tools that can be used to enact  protectionist policies include tariffs, subsidies and import quotas.

For example, if an import quota is enacted, there would be a limit on the amount of foreign electronics that would be imported into Xenia. This would improve the competitive power of firms in Xiena.

Without protective policies, local firms might not be able withstand foreign competition.

Here are the options:

Xenia needs to protect itself and promote its electronics exports.

Xenia needs to protect itself and build its national defense.

Xenia needs to protect itself and protect its infant electronics industry

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what interest rate is used to compute the present value of the remaining lease payments when a lease term is reassessed and changed?

Answers

The interest rate used to compute present value of remaining lease payments when a lease term is reassessed and changed is lessee's incremental borrowing rate at time of reassessment

The interest rate used to calculate the present value of remaining lease payments when a lease term is reassessed and changed is the lessee's incremental borrowing rate at the time of reassessment, in accordance with generally accepted accounting principles (GAAP). The incremental borrowing rate, which considers the lessee's creditworthiness, lease term and any collateral or security offered, is interest rate.

This is the interest a lessee would have to pay to borrow money to obtain a lease similar to the leased asset under comparable terms and conditions. It is an arbitrary rate that represents lessee's cost of borrowing in current financial climate. Because it has a major influence on the lease liabilities and corresponding financial statement disclosures, it is crucial for lessees to carefully examine proper incremental borrowing rate to employ when reevaluating lease terms and figuring out the present value of outstanding lease payments.

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The Sierra Company produces its product at a total cost of $1,200 per unit. Of this amount, $820 is product cost and $380 is selling and administrative expenses. In addition, the total cost of $1,200 is made up of $1,020 variable cost and $180 fixed cost. The desired profit is $204 per unit. Determine the mark up percentages under each of the following cost-plus methods. If required, round your answers to one decimal place.
(a) Total cost concept :
(b) Product cost concept:
(c) Variable cost concept:

Answers

The mark-up percentages for different cost concepts are as follows: total cost concept - 17%, product cost concept - 24.9%, and variable cost concept - 20%. These percentages represent the desired profit as a percentage of the respective cost concepts.

(a) Total cost concept: Total Cost = Product Cost + Selling and Administrative Expenses

Total Cost = $820 + $380

Total Cost = $1,200

Per unit cost = Total cost + Desired profit = $1,200 + $204 = $1,404

Mark up percentage = (Desired Profit/Total Cost) × 100= ($204/$1,200) × 100= 17%

Therefore, the mark-up percentage under the total cost concept is 17%.

(b) Product cost concept: Per unit cost = Product Cost + Desired profit= $820 + $204= $1,024

Mark up percentage = (Desired Profit/Product Cost) × 100= ($204/$820) × 100= 24.9%

Therefore, the mark-up percentage under the product cost concept is 24.9%.(

c) Variable cost concept: Per unit cost = Variable Cost + Fixed Cost + Desired Profit= $1,020 + $180 + $204= $1,404 Mark up percentage = (Desired Profit/Variable Cost) × 100= ($204/$1,020) × 100= 20%

Therefore, the mark-up percentage under the variable cost concept is 20%.

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free 27 points, come on up, and see if u can earn them- i act weird

Answers

Answer:

haha i am wierd too i feel u

Explanation:

Answer:

i shall win them and im wierd also.

Explanation:

which show the numbers of these coffees sold aver sx diflerent price values: Using simple linear regressica and given that the price per cup is 51.85, the forecasted demand for mocha latte colees will bo cups (enier your response foundoud to one docimal place).

Answers

To determine the forecasted demand for mocha latte coffees using simple linear regression, we need to have information on the relationship between the price per cup and the number of coffees sold.

However, the question does not provide any data or coefficients for the regression equation. Without these details, it is not possible to calculate the forecasted demand accurately.

To conduct a simple linear regression analysis, you would typically need a dataset consisting of observations on both the independent variable (price per cup) and the dependent variable (number of coffees sold). With this data, you can estimate the regression equation and use it to forecast the demand for mocha latte coffees at a given price.

If you have access to the necessary data, please provide it, and I will be happy to guide you through the process of calculating the forecasted demand using simple linear regression.

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if movie theatres decided to increase the price for the movie tickets, holding other factors constant, what would happen to the demand for popcorn in the theatres?

Answers

If movie theatres decided to increase the price of movie tickets, holding other factors constant, it is likely that the demand for popcorn in the theatres would decrease.

This is because movie theatres often use a strategy known as "price bundling," where they sell tickets and concessions (like popcorn) together as a package deal. When the price of movie tickets increases, consumers are likely to be less willing to pay for the whole package, which would lead to a decrease in demand for popcorn.

Additionally, consumers may also feel that they are already paying a premium for the movie ticket, and may therefore be less likely to spend additional money on snacks like popcorn. This would also contribute to a decrease in demand for popcorn.

It's worth noting that the extent of the decrease in demand for popcorn would depend on the magnitude of the price increase for movie tickets, as well as other factors such as the availability of alternative snack options in the theatre.

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Why do you think celebrities bother to involve themselves in politics?

Answers

Answer:

Answer in explanation.

Explanation:

I think that celebrities bother to involve themselves in politics to try and make a statement or gain more fame and followers. Oftentimes, you see celebrities speaking on world events such as the BLM act, global warming, wildfires, or the pandemic that is still ablaze. As we all know, all politicians have their strong opinions but the points do not always get across when just the politicians talk about it. Sometimes, celebrities feel the need to speak on a topic that may be popular in the world of politics just to shine a light on it or even to get more attention. In conclusion, I feel that celebrities try to worm their way into politics because I believe that they think that it will make an impact.

There are several reasons why celebrities may choose to involve themselves in politics.

Why celebrities bother to involve themselves in politics?

One reason is that they may feel a sense of responsibility or obligation to use their platform and influence to bring attention to important political issues and advocate for causes they believe in.

Additionally, celebrities often have access to resources and connections that can be useful in political activism and lobbying efforts.

Furthermore, political involvement can also benefit a celebrity's public image and career. By aligning themselves with certain political causes, celebrities may appeal to certain fan bases or demographics, which can increase their popularity and influence.

Moreover, some celebrities may simply be passionate about politics and want to use their voice and platform to make a difference in society. Overall, there are various reasons why celebrities may choose to involve themselves in politics, and the motivations can vary depending on the individual.

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where can i get my check engine light checked for free

Answers

usually autozone will check it for free.

the daily production rate for a paving crew is 300 ft3 /day, with 9000 cubic yards requiredfor the complete activity. find the activity duration

Answers

The activity duration for the paving crew to complete the project would be 810 days.

The activity duration for the paving crew can be calculated as follows:

First, we need to convert the total required volume into cubic feet:

9000 cubic yards * 27 cubic feet/cubic yard = 243,000 cubic feet

Then, we can divide the total required volume by the daily production rate:

243,000 cubic feet ÷ 300 ft3/day = 810 days

Therefore, the activity duration for the paving crew to complete the project would be 810 days.

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Which best describes natural selection Which type of solution would cause a bacterium with a weak or damaged cell wall to burst as water moves into the cell?. 3.17 Unit Test: Recovery - Reaction - Reform - Part 1. Which term refers to the policy of containing communism and preventing its spread into more countries?(a) the Marshall Plan(b) the Iron Curtain(c) the Berlin Wall(d) the Truman Doctrine My friends............ to school everyday.(walks/walk) I need help on this homework 1. Which log type is used to prove who did what and when?a. Traffic log b. Audit log c. System log d. Syslog what is called a study of exercise and myocardial infarction that recruited men and women. the study determines the relative risk separately for men and women and compares these to the crude relative risk. Who did NAFTA benefit? when rt is fractionated, the interval that represents the time it takes to receive and process information from the environment and transmit action commands is referred to as the: Malcolm should have explained how each person could benefit from completing his or her part of the project, which would be using what influence tactic?. Which statement best paraphrases the sentence in lines 20-21?OA. I often try to rise above my circumstances.OB. My intentions can be greater than my abilities.oC. Success occasionally comes to me out of the blue.D. My imagination rises and soars like the birds. uyI NEED THIS ASAP BP Co is currently undertaking a major programme of product development. BP Co has made a significant investment in plant and machinery for this programme.Over the next couple of years, BP Co has also budgeted for significant development and launch costs for a number of new products, although its finance director believes there is some uncertainty with these budgeted figures, as they will depend upon competitor activity amongst other matters.BP Co issued floating rate loan notes, with a face value of $400 million, to fund the investment in plant and machinery. The loan notes are redeemable in ten years' time. The interest on the loan notes is payable annually and is based on the spot yield curve, plus 50 basis points.BP Co's finance director has recently completed a review of the company's overall financing strategy. His review has highlighted expectations that interest rates will increase over the next few years, although the predictions of financial experts in the media differ significantly.The finance director is concerned about the exposure BP Co has to increases in interest rates through the loan notes. He has therefore discussed with ACBC Bank the possibility of taking out a four-year interest rate swap. The proposed terms are that BP Co would pay ACBC Bank interest based on an equivalent fixed annual rate of 4.847%. In return, BP Co would receive from ACBC Bank a variable amount based on the forward rates calculated from the annual spot yield curve rate at the time of payment minus 20 basis points. Payments and receipts would be made annually, with the first one in a year's time. ACBC Bank would charge an annual fee of 25 basis points if BP Co enters the swap.The current annual spot yield curve rates are as follows:Year 1 2 3 4Rate 3.7% 4.25% 4.7% 5.1%A number of concerns were raised at the recent board meeting when the swap arrangement was discussed. BP Co's chairman wondered what the value of the swap arrangement to BP Co was, and whether the value would change over time.One of BP Co's non-executive directors objected to the arrangement, saying that in his opinion the interest rate which BP Co would pay and the bank charges were too high.BP Co ought to stick with its floating rate commitment. Investors would be critical if, at the end of four years, BP Co had paid higher costs under the swap than it would have done had it left the loan unhedged.RequiredPrepare the report for the chairman which:a. Using the current annual spot yield curve rates as the basis for estimating forward rates, calculate the amounts BP Co expects to pay or receive each year under the swap (excluding the fee of 25 basis points).b. Calculate BP Co's interest payment liability for Year 1 if the yield curve rate is 4.5% or 2.9%, and comment on your results.c. Advise the chairman on the current value of the swap to BP Co and the factors which would change the value of the swap.d. Discuss the disadvantages and advantages to BP Co of not undertaking a swap and being liable to pay interest at floating rates. what interventions will the nurse include in the plan of care for a patient who has cardiogenic shock? find the coefficient of x^5 in the expression ( 1 - 2x) ^6 Pre Calc Question Help,State the domain of the rational function. (5 points)f(x) = sixteen divided by quantity thirteen minus xAll real numbers except 13.All real numbers except -16 and 16.All real numbers except -13 and 13.All real numbers except 16. given z is a standard normal random variable. what is pr(z < 2.3)? use excel and carry your answer to at least five decimal places. A client has arrived in the inpatient post operative unit. which action by the inpatient nurse takes priority? b. Methanol (A)-Water (B) System P= 101.3 kPa Data of J.G. Dunlop, M.S. thesis, Brooklyn Polytechnic Institute (1948) Temperature, C YA XA 64.5 66.0 69.3 73.1 78.0 84.4 89.3 93.5 100.0 1.000 0.958 0.870 0.779 0.665 0.517 0.365 0.230 0.000 1.000 0.900 0.700 0.500 0.300 0.150 0.080 0.040 0.000 a) Compare the vapor composition data with the one predicted by Raoult's & Dalton's Law. b) is the solution ideal? c) Plot the x-y graph to show the difference. 31 Which is the correct conversion for converting 54.0 grams of Chlorine to moles of Chlorine? Plz help me thank you