In the united states, who receives the goods and services produced depends largely on?

Answers

Answer 1

In the united states, who receives the goods and services produced depends largely on how income is distributed. Income distribution refers to how a nation's population is divided among its total GDP. Income and its distribution have long been seen as a primary priority in economic theory and policy. Economic inequality is brought on by unequal income distribution and is a problem in practically every nation on earth.

The income distribution among the main production factors (land, labour and capital). Although they have concentrated more on how income is distributed among people and households, modern economists have also addressed concerns of income distribution. The balance between income inequality and economic growth, and their frequently antagonistic relationship, are significant theoretical and policy challenges.

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Related Questions

What might be an example of corporate social responsibility

Answers

funding water conservation technologies.

An example of corporate social responsibility is funding for planting trees in the city or country.

What is corporate social responsibility?

Corporate social responsibility is kind of a social responsibility of business owners and organizations towards the betterment of the society and environment. There are many ways to fulfill corporate social responsibility, such as planting trees, giving jobs to the underprivileged, funding for water and sanitation facilities, and many more.

At present times, this act of corporate social responsibility is being taken really seriously by business people, and they are fulfilling this responsibility with great zeal. There are dedicated departments in organizations that look after these activities.

Thus, planting trees is one example of corporate social responsibility.

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What is the marginal revenue and marginal cost for this diagram?

What type of market is this? Explain your answer

What is the marginal revenue and marginal cost for this diagram?What type of market is this? Explain

Answers

Marginal revenue :

2060120200300420560

Marginal cost :

108210192640

It is a Monopolistic market structure because marginal revenue is greater than the marginal cost.

Marginal Revenue is the increase in the revenue by selling one extra product in the market. It is calculated by the Change in revenue divided by the change in output.

Marginal cost is the change in cost by producing one extra unit of output. It is calculated by a change in cost divided by the change in units.

Monopolistic market structure is where there are multiple companies producing similar products in the market.Example for monopolistic structure can be a grocery store.

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Benefits of being a tax compliant

Answers

Tax laws provide for the charging of additional tax and penalties equal to the defaulted amount and interest, where a client fails to adhere to its provisions. In some instances, fines, prosecution and imprisonment may be effected depending on the nature of the default.

Hope it helps

Have a good day

Tax laws provide for the charging of additional tax and penalties equal to the defaulted amount and interest, where a client fails to adhere to its provisions.

Explain protocol for conducting research

Answers

Answer:

What is a research protocol? A protocol includes a background which summarises the evidence about the issue in the literature and provides a justification for doing the study. It describes the participants and the inclusion and exclusion criteria, as well as how they will be recruited.

An instrument used to enlarge or reduce a map is known as​

Answers

Answer:

pantograph

Explanation:

you can use a pantograph to do this.

the analysis and redesign of workflows within and between enterprises in order to optimize end-to-end processes and automate non-value-added tasks is called _____

Answers

Business process reengineering, or "BPR," is the examination and redesign of workflows within and across companies with the goal of optimising end-to-end processes and automating non-value-added jobs.

A workflow is the set of activities and procedures needed to finish a particular business activity. A workflow often consists of several stages, each of which calls for particular tasks, people, and materials. Workflows can be created to support a variety of business activities, from straightforward operations like processing invoices to intricate ones like supply chain management or product design. In order to guarantee that processes are effective, economical, and deliver high-quality outputs, good workflow design is essential. Process automation is becoming more and more popular because it may simplify procedures, lower errors, and free up people to concentrate on tasks of higher value.

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Benjamin's credit card has an APR of 19%, calculated on the previous monthly balance, and a minimum payment of 2%, starting the month after the first purchase. His credit card record for the last 7 months is shown in the table below. End of Previous New Payment Finance Principal New month balance charges received charges paid balance. What is the total amount that Benjamin has made in payments over the 7 months?

O A. $59.38
O B. $47.01
O c. $225.64
O D. $285.02​

Answers

To solve this question, we need to calculate Benjamin's monthly payments of credit card by taking 2% of his previous month's balance and add any new charges he made during that month.

We can then subtract the payment amount from the total amount owed to find the new principal balance.
Using the given table, we can calculate the monthly payments as follows:
Month 1: Payment = 2% x $0 + $115.00 = $115.00. New principal balance = $115.00 + $115.00 x 0.19 / 12 = $116.75.
Month 2: Payment = 2% x $116.75 + $89.43 = $92.14. New principal balance = $116.75 + $89.43 - $92.14 = $114.04.
Month 3: Payment = 2% x $114.04 + $78.51 = $80.19. New principal balance = $114.04 + $78.51 - $80.19 = $112.36.
Month 4: Payment = 2% x $112.36 + $72.02 = $74.86. New principal balance = $112.36 + $72.02 - $74.86 = $109.52.
Month 5: Payment = 2% x $109.52 + $67.23 = $70.95. New principal balance = $109.52 + $67.23 - $70.95 = $105.80.
Month 6: Payment = 2% x $105.80 + $60.68 = $63.10. New principal balance = $105.80 + $60.68 - $63.10 = $103.38.
Month 7: Payment = 2% x $103.38 + $54.35 = $56.67. New principal balance = $103.38 + $54.35 - $56.67 = $101.06.
To find the total amount that Benjamin has made in payments over the 7 months, we add up all the payments he made:
$115.00 + $92.14 + $80.19 + $74.86 + $70.95 + $63.10 + $56.67 = $552.91.
Therefore, the answer is not one of the options provided.

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what are three primary reasons for asking others to review and comment on a presentation

Answers

To make sure they are good

Answer: to review content for accuracy, suggest improvements, or document feedback

Explanation:

i just took it

At December 31,2025 , Whispering Corporation had an estimated warranty liability of $80.000 for accounting purposes and $0 for tax purposes. (The warranty costs are not deductible until paid.) The effective tax rate is 30%. Compute the amount Whispering should report as a deferred tax asset at December 31,2025. Deferred tax asset at December 31,2025$5

Answers

Whispering Corporation should report a deferred tax asset of $5,000 at December 31, 2025, based on the given information. This amount represents the tax benefit associated with the estimated warranty liability for accounting purposes.  Whispering Corporation should report a deferred tax asset of $24,000 at December 31, 2025.

To calculate the deferred tax asset, we need to determine the tax benefit associated with the estimated warranty liability. Since the warranty costs are not deductible until paid, the tax benefit will arise in the future when the warranty expenses are actually incurred and deducted for tax purposes.

Given:

Estimated warranty liability for accounting purposes = $80,000

Warranty liability for tax purposes = $0

Effective tax rate = 30%

To calculate the tax benefit, we subtract the warranty liability for tax purposes from the warranty liability for accounting purposes:

Tax benefit = (Estimated warranty liability for accounting purposes - Warranty liability for tax purposes) * Effective tax rate

Substituting the given values:

Tax benefit = ($80,000 - $0) * 30%

Performing the calculation:

Tax benefit = $80,000 * 0.30

Tax benefit = $24,000

Therefore, Whispering Corporation should report a deferred tax asset of $24,000 at December 31, 2025.

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Which step of the legislative process is missing?
with answers in screenshot

Which step of the legislative process is missing?with answers in screenshot

Answers

The bill is voted on by senate

The Upper Tier has a current debt-equity ratio of .52 and a target debt-equity ratio of .45. The cost of floating equity is 9.5 percent and the flotation cost of debt is 6.6 percent. What should the firm use as their weighted average flotation cost?

Answers

Answer: 8.60%

Explanation:

Given the following :

Current debt-equity ratio = 0.52

Target debt-equity ratio = 0.45

Cost of floating equity = 9.5%

Floatation cost of debt = 6.6%

The Weighted average cost is calculated by finding the Weighted average cost of both debt and equity.

1 + 0.45 = 1.45

Weight of debt= 0.45/ 1.45 =0.31034

Weight * cost of debt

0.31034 × 6.6% = 2.0482758

Weight of equity = 1/1.45 = 0.6896551

Weight * cost of equity

0.6896551 × 9.5% = 6.5517241

Sum of both

(6.55 + 2.05) % = 8.60%

ASAP!
Inspection of a document that is a financial instrument, such as
a security, provides evidence of the valuation of the security.
T/F?

Answers

The statement, "Inspection of a document that is a financial instrument, such as a security, provides evidence of the valuation of the security" is False.

What is a security?

A security is a financial instrument that holds some monetary value and can be traded. It can be defined as a negotiable instrument that represents financial value in the form of ownership of a firm or creditor relationship with a firm or government, typically traded on an exchange.

What is valuation?

Valuation is the process of determining the present worth of a financial asset or company using accounting metrics such as price-to-earnings ratio (P/E ratio), earnings per share (EPS), and net present value (NPV). It is used to evaluate a company's financial health and to make investment decisions based on it.

How are security valuations conducted?

Security valuations can be conducted in a variety of ways, including by examining the company's financial statements, performing ratio analyses, reviewing industry trends, and evaluating cash flow metrics. Furthermore, some financial instruments have market prices that are readily accessible, making it easier to determine their worth by just looking at their market prices.

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"According to Gartner Research, the data analytics market has split into two segments: the traditional _____ market and the newer __________ market. "

Answers

Answer: BI; data discovery

Explanation:

According to Gartner Research, the data analytics market has split into two segments: the traditional BI market and the newer data discovery market.

Data analytics is when raw materials are being analyzed scientifically in order to derive conclusions about a particular information.

Data analytics tools and technologies are data discovery, data visualization, and also geospatials.

Which economic group in the U.S. is likely to benefit the most from falling oil and gas prices?
Why?

Answers

Answer:

i make a lot of gas so the prices can go down for everyone

Explanation:

the interest rate paid on invested funds when deciding how much inventory to keep on hand. RELEVENT/IRRELEVENT

Answers

The interest rate paid on invested funds when deciding how much inventory to keep on hand is relevant.


To explain further, when a business holds inventory, it ties up funds that could have been invested elsewhere to earn interest. Therefore, it is crucial to consider the opportunity cost of holding inventory, which is the interest rate that could have been earned if the funds were invested elsewhere. By assessing the interest rate paid on invested funds, businesses can make more informed decisions on how much inventory to keep on hand.

Step 1: Determine the cost of holding inventory, including storage costs, insurance, taxes, and potential spoilage or obsolescence.

Step 2: Identify the interest rate that could be earned if the funds used to purchase inventory were invested elsewhere.

Step 3: Weigh the benefits of holding more inventory, such as having items readily available for customers, against the costs of holding inventory and the potential interest income that could be earned.

Step 4: Use this information to make a strategic decision about the optimal amount of inventory to keep on hand, balancing the benefits of meeting customer demand with the costs and opportunity costs of holding inventory.

In summary, considering the interest rate paid on invested funds when deciding how much inventory to keep on hand is relevant, as it helps businesses make informed decisions and manage the costs and opportunity costs associated with holding inventory.

Hence, statement is relevant.

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Machine has three speed settings, low medium fast the low setting produces 110 units with a 90% quality rating the medium setting produces 120 units with an 80% quality rating in the fast setting produces 140 units with a 70% quality rating if each unit sells for $20 what shutting makes the company the most money in sales win percentage not meeting quality standards cannot be sold

Answers

The low setting makes the company the most money in sales, with a total revenue of $1980

To determine which setting makes the company the most money, we need to calculate the total revenue generated by each setting while taking into account the quality rating. For the low setting, the company produces 110 units with a 90% quality rating, which means that 10% of the units are not sellable. So, the total number of sellable units is 110 x 0.9 = 99 units. The revenue generated from selling these units is 99 x $20 = $1980. For the medium setting, the company produces 120 units with an 80% quality rating, which means that 20% of the units are not sellable. So, the total number of sellable units is 120 x 0.8 = 96 units. The revenue generated from selling these units is 96 x $20 = $1920.

For the fast setting, the company produces 140 units with a 70% quality rating, which means that 30% of the units are not sellable. So, the total number of sellable units is 140 x 0.7 = 98 units. The revenue generated from selling these units is 98 x $20 = $1960.

Therefore, the low setting makes the company the most money in sales, with a total revenue of $1980

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You have checked model income statements and estimate your payroll expense will be 28% of revenue. You expect sales to be $312,112 per year. What should you budget MONTHLY for payroll?​

Answers

Answer:

$7,282. 61

Explanation:

Payroll is 28% of revenue.

sales or revenue are expected to be $312,112 per year.

Payroll per year will be

=28% of $312, 112

= 28/100 x $312,112

=0.28 x 87,391.36

The monthly payroll budget should be

= $87,391.36 / 12

=$7,282.61

Which of the following relers to subsets of an entire market?
O market sets
O potential markets
O target markets
market mixes

Answers

I think it would either be potential markets or target markets but i would probably choose target markets

a seller paid $1,536 in hoa fees at the beginning of the year. the buyer closed on the property and took possession with exactly 5 months left in the year. using the 360-day calendar, how much would the buyer owe the seller in prorated hoa fees?

Answers

Using a 360-day calendar, the buyer would owe the seller $645 in certified HOA fees.

To determine the prorated amount of HOA fees that the buyer would owe the seller, you first need to determine the total number of days left in the year after the buyer took possession of the property.

Since there are 5 months left in the year or 5/12 of a year, there are

5/12 * 360 days = 150 days left in the year.

You can then divide the total HOA fees paid by the seller by the number of days in the year to determine the daily rate, which is

$1,536 / 360 days = $4.30/day.

Multiplying the daily rate by the number of days left in the year will give you the prorated amount that the buyer owes the seller:

$4.30/day * 150 days = $645.

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The most evident sign of the economic crisis by October 2008 was:
A. plummeting stock prices.
B. fuel shortages and long lines at gas stations.
C. a drying-up of illegal immigration.
D. a large number of bankers being sent to prison.
E. growing public support for socialism.

Answers

The most evident sign of the economic crisis by October 2008 was plummeting stock prices.

By October 2008, the global economy was facing a severe economic crisis, often referred to as the "Great Recession." During this period, the most evident and widely observed sign of the crisis was the plummeting stock prices in financial markets around the world.

A significant decline in stock prices is an indication of investor pessimism and a lack of confidence in the financial system. It reflects a loss of value in companies and a general downturn in economic conditions. As stock prices fall, investors face substantial losses, and this can have ripple effects on consumer confidence, business investments, and overall economic activity.

Fuel shortages and long lines at gas stations, option B, were not the most evident sign of the economic crisis in October 2008. While there were fluctuations in fuel prices during that period, the primary focus and concern were on the broader financial and economic issues affecting the global economy.

Options C, D, and E are not directly related to the most evident sign of the economic crisis in October 2008. While they may have been present to some extent during that time, they were not the most prominent or widely observed indicators of the crisis.

In summary, the most evident sign of the economic crisis by October 2008 was the plummeting stock prices, reflecting a loss of investor confidence and signaling the severity of the global economic downturn.

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John from sales has just sent you an e-mail. He needs a decision made on the Johnson account as soon as possible. You can make the decision, but you feel like you’d like to ask your boss for her advice. Unfortunately, she is in a business meeting, and the decision needs to be made very soon. You decide to take the initiative and ______.
a.
Interrupt your boss to make the decision
b.
Ask a coworker to make the decision
c.
Wait to make the decision
d.
Make the decision

Answers

Answer:

D. Make the decision

Explanation:

The decision needs to be made as soon as possible. Answers B and C both require extra time, which is not an option here. That leaves A and D as possibilities. Answer A makes the least sense of the 4 options (as it would be extremely unprofessional to interrupt a meeting), leaving D as the only reasonable choice.

the project delivery method in which only one firm is contracted for both design and construction of the building is called the

Answers

The project delivery method in which only one firm is contracted for both design and construction of the building is called the design-build delivery method.

In the design-build approach, a single entity, often referred to as the design-build contractor or design-builder, is responsible for both the architectural and engineering design as well as the construction of the project. This integrated approach allows for a seamless coordination between the design and construction phases, potentially leading to improved project efficiency, cost savings, and faster delivery.

In a design-build project, the design-build contractor typically takes on the role of the primary point of contact for the project owner, providing a streamlined communication and accountability structure. By having a single entity responsible for both design and construction, potential conflicts or issues that may arise during the project can be addressed more efficiently.

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Help please!!!!!!!!!!!!

Help please!!!!!!!!!!!!

Answers

A tangible item such as a smartphone contains multiple intellectual property elements that are crucial in protecting the company's interests and ensuring the item's success in the market.

How to describe a tangible intellectual property?

A smartphone is a tangible item that contains several intellectual property elements. First, it may contain patented technology, such as its camera or fingerprint scanner, which are protected by exclusive rights granted by the government.

Second, it may bear a trademark, which is a word, symbol, or design that identifies and distinguishes the product from others. The trademark may include the company's logo or the name of the smartphone model. Third, it may contain copyrighted software, such as the operating system or pre-installed apps, which are protected by the copyright laws.

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Initiative means letting your boss define your tasks. true or false

Answers

The statement is false because initiative involves taking responsibility for one's own work and actively seeking out opportunities to contribute to the success of the organization.

Initiative is the ability to take action without being prompted or directed to do so. It involves recognizing opportunities for improvement or growth and taking proactive steps to make things happen. This means being self-directed, motivated, and willing to take risks in order to achieve a desired outcome.

When an employee shows initiative, they are demonstrating a willingness to take ownership of their work and actively seek out opportunities to contribute to the success of the organization. They are not simply waiting for someone else to tell them what to do or waiting for instructions to be given.

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2. A closer estimate of the total cost can be made by including the estimated sales tax. Use a formula to
calculate the estimated cost for July 2014 using 7% sales tax. Then, write the formula you used and the
estimated cost in the cell below. Hint: Convert 7% into a decimal for the formula. (5 points)

Answers

Answer:

=([Cost] * 1.07)

Explanation:

The question has missing details.

The complete question is to calculate write a Microsoft Excel formula that calculates the total cost which includes the sales tax

Assume that the table heading for estimated cost in July 2014 is Cost

The formula to calculated the total cost which includes the sales tax is:

=([Cost] * 1.07)

The above uses structured reference to make reference to the cost in July 2014.

To calculate the total which includes sales tax, we use:

\(Total = Cost * (1 + Sales\ Tax)\)

\(Total = Cost * (1 + 7\%)\)

Convert percentage to decimal

\(Total = Cost * (1 + 0.07)\)

\(Total = Cost * 1.07\)

Hence, the Excel equivalent is:

=([Cost] * 1.07)

Answer:

=([Cost] * 1.07)

Explanation:

The complete question is to calculate write a Microsoft Excel formula that calculates the total cost which includes the sales tax

Assume that the table heading for estimated cost in July 2014 is Cost

The formula to calculated the total cost which includes the sales tax is:

=([Cost] * 1.07)

The above uses structured reference to make reference to the cost in July 2014.

To calculate the total which includes sales tax, we use:

Total = Cost x ( 1 + Sales Tax )

Total = Cost x ( 1 + 7% )

Convert percentage to decimal

Total = cost x ( 1 + 0.07 )

Total = Cost x 1.07

Hence, the Excel equivalent is:

=([Cost] * 1.07)

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bought a computer for ra 25000
double column cash book with discount and cash column ​

Answers

Answer:

Explanation:

41,900

June 01 Balance b/d   16,300        

Answer:

41,900

June 01 Balance b/d   16,300  

Explanation:

help please and thank youuuuuu

help please and thank youuuuuu

Answers

Answer:

B I'm pretty sure sorry if I get it wrong

Answer:

sales tax

Explanation:

sales tax is a tax a costumer pays for certain goods and services

the beta of elsenore, inc., stock is 1.6 and the risk-free rate of return is 8 percent. if the expected return on the market is 15 percent, then what should investors expect as a return on elsenore? select answer from the options below 19.20% 32.00% 11.20% 24.00%

Answers

The beta of Elsenore, Inc., stock is 1.6, and the risk-free rate of return is 8 percent. If the expected return on the market is 15 percent, the investors should expect 19.20% as a return on Elsenore.

The CAPM model is used to calculate the expected return on equity, and the formula is as follows:

E(Ri) = Rf + βi[E(Rm) - Rf]

Where: E(Ri) = Expected return on stock   iRf = Risk-free rate of return  βi = Beta of the stock   iE(Rm) = Expected return on the market.

The given information is used to calculate the expected return on the stock of Elsenore, Inc.

E(Ri) = 8% + 1.6(15% - 8%)E(Ri)

= 8% + 1.6(7%)E(Ri)

= 8% + 11.2%E(Ri) = 19.20%

Therefore, the expected return on Elsenore is 19.20%. The answer is option A.

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6. Devonn has a checking account that charges $0.25 for each check written and a monthly service charge of $1200. Write a formule that Devenn can use each morth to find the fees he will be charged. Identify any voriable you use in the formula.​

Answers

Answer:

1200÷12 or 0.25×1200÷12 maybe? plz tell me if I'm right cuz I actually wanna know too

feasibility reports answer such questions as will this plan or proposal work?

Answers

Yes, feasibility reports are specifically designed to answer questions regarding the viability and workability of a plan or proposal. These reports provide a comprehensive analysis of the various aspects of a project or idea to assess its feasibility and determine if it is viable to pursue further.

Feasibility reports typically address key questions such as:

1. Technical Feasibility: Will the proposed plan or project be technically feasible to implement? This involves evaluating the technical requirements, resources, infrastructure, and technology needed to execute the plan successfully.

2. Economic Feasibility: Is the plan economically feasible? This entails assessing the financial viability of the project, including cost estimates, revenue projections, potential return on investment, and consideration of financial risks and benefits.

3. Market Feasibility: Is there a viable market for the product, service, or solution proposed in the plan? This involves evaluating market trends, customer demand, competition, target audience, and potential market acceptance.

4. Legal and Regulatory Feasibility: Are there any legal or regulatory constraints that may impact the implementation of the plan? This includes assessing compliance requirements, permits, licenses, intellectual property rights, and any legal or regulatory implications.

5. Operational Feasibility: Can the proposed plan be implemented within the existing operational framework? This involves evaluating the resources, skills, capacity, and logistical considerations required to execute the plan effectively.

By addressing these questions and conducting a thorough analysis, feasibility reports provide stakeholders and decision-makers with an informed assessment of whether the proposed plan or proposal is likely to succeed and if it aligns with the organization's goals and objectives. Feasibility reports help in making informed decisions about whether to proceed with the plan, modify it, or explore alternative options.

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During the Middle Ages, the status of women: Group of answer choices remained unchanged for nearly one thousand years. steadily declined until late in the era, just before the Renaissance. was raised through the concept of chivalry, which arose among knights and was idealized in music. was much the same as it is today. 100 Age The president of 4 Enterprises, Toni H. projects the Sun's gregeto demand requirements over the next month an follow January 1.500 May 23.00 February 1,700 2.100 March 1900 April 1500 Her operation manager is considering new plan which begin in January with 200 units of entry on and Stockout cost of lost 5125 per un toying coi 120 per monthly costs. The plan is cald lanc Plan C: Keep a stable workforce by maintaining constant production rate equal to the age groussements in tyde varying my Conded your analysis for January through August The average monthly demand equunts. Enter your response tombe In order to me at the cost compute the ending inventory and stock units for eachment by the table Ending Stockout Pald Moth Demand Pedeventer December + 1500 1.800 2 Fabry 1500 Next In order to arrive at the costs first compute the ending inventory and stockout units for each month by filling in the table below (enter your responses a whole numbers Stockouts (Units) Period Month 0 December 1 January 2 February 3 March 4 April 5 May 6 June 7 July 8 August Ending Demand Production Inventory 200 1,500 1.800 1,700 1.800 1,700 1 800 1,700 1800 2.300 1 800 2.100 1 800 1900 1.800 1,500 1,800 LE The total stockout cost = $(Enter your response as a whole number) The total inventory carrying cost-5 (Enter your response as a hole number) The total cost excluding normal time labor costs.is - S. (Enter your responde a whole number) If the number of chromosomes in the skin cells of an organism is 28. What is the number of chromosomes in the organisms egg cell Solve the following equation6^2m 4^-m (3^m)^2 Direct eye contact is Group of answer choices offensive in some cultures. better than indirect eye contact. a form of verbal communication. universally recognized as essential to honest communication. Describe the end behavior of the given function. F(x) = (2/3)^x - 2 How many grams of copper will be plated out by a current of 2.3 A applied for 35 minutes to a 0.50 M solution of copper (II) sulfate? A)1.6 B) 3.2 C) 1.810-2 D) 3.6x10-2 E)0.019 Answer: A 7 20) According to the classical conditioning perspective, panic disorders which result from acquired associations between bodily sensations such as difficulty breathing with memories of the last panic attack result from Helppp plz I will mark brainliestttt Cara leased a convertible by making a $3,000 deposit and paying $349 per month for 36 months, and an $80 title fee and a $112.86 license fee. Find the total lease cost. the product of 32 and 2? Holding all other things constant, which of the following represents a cash outflow? O The company sells an old machine. O The company increases accounts payable. O The company pays back notes payable. O The company receives a bank loan. Which System of Equations represents the problem given? Erin bought 4 jars of jelly and 6 jars of peanut butter for $19.32. Adam bought 3 jars of jelly and 5 jars of peanut butter for $15.67. Find the cost of a jar of peanut butter. Question 10 options: What 2 numbers multiply to make -30 and combine to make -7? ____and____Help PLEASEE Given the following diagram where BLUE is a rectangle, find the measure in degrees of How many different choices of shirts does the store sell Read the sentence.Have you ever seen photos of Mars?How does the sentence help the reader connect to the text "Exploring Mars?It explains the central idea of the text to the reader.It shows the overall topic of the text to the reader.It helps the reader connect the text to personal experiences.It encourages the reader to take certain actions based on the text. what kinds of proactive measurements can supply organization plan and implement to minimize the firm's risk of product liability lawsuit? A flea weighs 8 decigrams, and an ant weighs 3 milligrams. How much more does a flea weigh than an ant? milligrams A destructive wave created by underwater earthquakes or volcanoes is called a what?btw don't mind the subject.