Why does the shape of a ppc for individuals differ from that of the economy as a whole?.

Answers

Answer 1

The production possibility curve (PPC) is a visual representation of the output possibilities of two goods or services that an economy can produce, given that resources are used efficiently and effectively.

The PPC for an individual is likely to differ from that of the economy as a whole because individuals may not be using their resources efficiently. They may not be using all their available resources to their maximum potential or may be producing goods in an inefficient manner. In contrast, the PPC for an economy assumes that all resources are being used efficiently and effectively. This means that the economy is operating at maximum capacity.Specialization: Individuals may specialize in producing certain goods or services, which is reflected in their PPC.

This means that their PPC will be different from that of others who do not have access to such technology. In contrast, the PPC for the economy as a whole takes into account the average level of technology used across all individuals and businesses.

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Related Questions

Who carries the animal from the farm to the market or packer?
A. Producer
B. Proccessor
C. Transporter
D. Consumer

Answers

Answer:

was it a passage u had to read?

Explanation:

Answer:

Transporter

Explanation:

You are transferring the animal to the market from the farm.

PLEASE HELP SOON WILL GIVE BRAINLIEST

Some families may not wish to fill out a CSS Profile because:
OA. the FAFSA provides the same information.
B. it asks for detailed financial information.
C. they are not interested in scholarships.
OD. the college essay is sufficient.

Answers

Answer:

my answer is

Explanation:

D: the college essay is sufficient.

Some families might decide the college essay is adequate and they don't need to complete a CSS Profile. Thus option (D) is correct.

What is Profile?

Older Italian profile "a drawing in outline," from profile "to draw in outline," from pro "forward" (from PIE root *per- (1) "ahead") + flare "draw out, spin," from Late Latin flare "to spin, draw out," first recorded in English in the 1650s.

You don't need to submit a CSS Profile if your school isn't on that list, but you will still be eligible for non-federal funding. Your eligibility for both federal and non-federal aid will be determined by the university using the information from your FAFSA.

Therefore, Thus option (D) is correct.

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Why would it be a bad thing for workers (especially children) to be doing double the work during their shifts? (Think baout trying to manage two machines at one time)

Answers

Answer:

Double work can lead to the body developing a lot of health related problems due to the stress placed on it. These problems are not only bad for the workers themselves but also for the company hiring them.

Some of the health problems that may arise include:

Diabetes Increased risk of heart diseaseHigh blood pressure Depression Sleep deprivation Fatigue

These problems can affect both children and adults and so double shifting should be discouraged.

As a result of these health problems, the employer may be affected by:

Absenteeism - Workers will not show up for work in order to recuperate and this will reduce the firm's productivity. Lack of concentration - sleep deprivation can lead to a lack of concentration which can lead to mistakes being made that could be costly to the company. High staff turnover - people will leave the company to avoid the stress of working double shifts and the company would have to keep spending on training new employees who will take time to learn the tricks of the trade thereby costing the company more.

which is a true statement about how profit can be an incentive for entrepreneurs?

Answers

The true statement regarding the profit of an entrepreneur is : Makes the gap between the rich and poor more noticeable.

Profit is the gain realized from the sale of commodities. It is the difference between total revenue and total cost.

Elements of profits include the following :

SalesMarginExpenses

Therefore, it should be noted that profit can be an incentive for entrepreneurs as it makes the gap between the rich and poor more noticeable.

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A classified balance sheet differs from an unclassified balance sheet in that Multiple Choice A classified balance sheet groups items into the broad categories of asset liability, and equity A classified balance sheet is not usually provided to outside parties A classified balance sheet will include more accounts than an unclassified balance sheet for the same company on the same date. A classified balance sheet is not usually provided to outside parties A classified balance sheet will include more accounts than an unciassified balance sheet for the same company on the same date A classified balance sheet classifies assets and liabilities as current (short-term) and noncurrent (long-term) An unclassified balance sheet is never used by large companies

Answers

A classified balance sheet classifies assets and liabilities as current (short-term) and noncurrent (long-term).

A classified balance sheet differs from an unclassified balance sheet by organizing and classifying assets and liabilities into current and noncurrent categories. This classification provides users of the financial statements with information about the expected timing of cash flows and the liquidity of the company's resources.

On the other hand, the options stating that a classified balance sheet is not usually provided to outside parties and that it includes more accounts than an unclassified balance sheet for the same company on the same date are incorrect.

Additionally, the statement suggesting that an unclassified balance sheet is never used by large companies is not accurate. While large companies typically use classified balance sheets to provide more detailed information, unclassified balance sheets can still be used in certain circumstances, especially for smaller businesses or for internal reporting purposes.

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Final answer:

A classified balance sheet groups items into the main categories of asset, liability, and equity, providing a more organized representation of a company's financial position.

Explanation:

A classified balance sheet differs from an unclassified balance sheet in that it classifies assets and liabilities as current (short-term) and noncurrent (long-term). On the other hand, an unclassified balance sheet does not categorize assets and liabilities in the same way.

A classified balance sheet groups items into the broad categories of asset, liability, and equity. This allows for a more organized and detailed representation of a company's financial position.

Therefore, the correct option is: A classified balance sheet groups items into the broad categories of asset, liability, and equity.

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Racing Horse Corporation reported net income for 2010 of $200,000, sales of $540,000, expenses (excluding depreciation) of $180,000, and depreciation expense of $60,000. The company's accounts receivable balance increased by $40,000 during the year and its accounts payable balance remained the same. What is the estimated change in cash for the year ?

Answers

Answer:

Estimated change in cash = $220,000

Explanation:

GIven:

Net income = $200,000

Sales = $540,000

Expenses = $180,000

Depreciation expenses = $60,000

Accounts receivable balance increased = $40,000

Find:

Estimated change in cash

Computation:

Estimated change in cash = Net income + Depreciation expense - Accounts receivable balance increased

Estimated change in cash = 200,000 + 60,000 - 40,000

Estimated change in cash = $220,000

In order for the people to take a fresh look at its brand, the american red cross used a ________ strategy.

Answers

In order for the people to take a fresh look at its brand, the American red cross used a brand revitalization strategy.

What is brand revitalization strategy?No matter how successful your brand has been or is currently, it will eventually need to be reevaluated and revitalized in order to remain relevant and meet the demands of the market and changing trends. This will ensure that your brand continues to expand and be profitable. While brand rejuvenation seeks to improve the consumer base of a product that isn't making enough money, brand reinforcement works to increase the number of customers of an established and successful brand. In conclusion, both exist to support the expansion of consumer base.Brand revitalization is a marketing tactic that is typically employed when a product reaches the PLC maturity stage and profits begin to rapidly decline as the market becomes saturated. Compared to the introduction of a fully new brand or product, it is less expensive and hazardous.

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What does the term 'user
experience' refer to regarding a
website?
A. the overall ease of navigation and ability to
purchase on a company's website
B. the general experience a customer has when
using a product of a business
C. the customer experience when dealing with
customer service representatives

Answers

Answer:b

Explanation:

Karen Samuels (Social Security number 123-45-6789) makes the following purchases and sales of stock:
Transaction Date Number of Shares Company Price per Share
Purchase 1-1-2015 300 MDG $ 75
Purchase 6-1-2015 150 GRU 300
Purchase 11-1-2015 60 MDG 70
Sale 12-3-2015 200 MDG 80
Purchase 3-1-2016 120 GRU 375
Sale 8-1-2016 90 GRU 330
Sale 1-1-2017 150 MDG 90
Sale 2-1-2017 75 GRU 500

Answers

As of July 1, 2015, No stocks have been sold at this point, so there are no perceived profits or losses.

b. As of December 31, 2015: The offer of 200 MDG shares on 12-3-2015 would be coordinated with the initial 200 MDG shares bought at $75 per share. The perceived increase or losses would be determined in light of the selling cost of $80 per share and the price tag of $75 per share.

c. As of December 31, 2016: The deals made until this date would be coordinated with the earliest bought portions of each sort (MDG and GRU) in light of the FIFO strategy. The perceived increase or losses for every deal would be determined as needs be.

d. As of July 1, 2017: All business up to this date would be coordinated with the earliest bought shares in light of the FIFO strategy. The perceived increase or losses for each kind of stock would be resolved utilizing the relating selling cost and the price tag of the earliest gained shares.

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Your question is incomplete, probably the complete question is-

Karen Samuels (Social Security number 123-45-6789) makes the following purchases and sales of stock:

Transaction Date Number of Shares Company Price per Share

Purchase 1-1-2015 300 MDG $ 75

Purchase 6-1-2015 150 GRU 300

Purchase 11-1-2015 60 MDG 70

Sale 12-3-2015 200 MDG 80

Purchase 3-1-2016 120 GRU 375

Sale 8-1-2016 90 GRU 330

Sale 1-1-2017 150 MDG 90

Sale 2-1-2017 75 GRU 500

Assuming that Karen is unable to identify the particular lots that are sold with the original purchase, determine the recognized gain or loss on each type of stock:

a. As of July 1, 2015.

b. As of December 31, 2015.

c. As of December 31, 2016.

d. As of July 1, 2017.

Please answer this question...



Did you eat today? if you haven't please find something to eat and take care of yourself :)

Answers

Answer: yes! Aww thanks, you too :))

Explanation: have a great day!!

Answer:yes i did thank you for caringgggggggggg have a good day^.^

Explanation:


Opportunity Cost
in order to
v something else.
Opportunity cost is what must be
Opportunity cost forces consume
lucers to make
received
given up
replaced

Answers

I don’t fully understand that in order to help you.

assume that the required reserve ratio is 10% and that mary brings in $200 cash to deposit into her checking account. after all adjustments by commercial banks, what will be the maximum increase in reserves, loans, and demand deposits from mary's deposit?

Answers

- The maximum increase in reserves from Mary's deposit is $20.
- The maximum increase in loans that can be made by the bank is $180.
- The maximum increase in demand deposits is $200.

The maximum increase in reserves, loans, and demand deposits from Mary's deposit can be determined by considering the required reserve ratio of 10%.

1. Reserves:
The required reserve ratio is the percentage of deposits that banks must keep as reserves. In this case, the required reserve ratio is 10%. Since Mary deposited $200 into her checking account, the maximum increase in reserves will be 10% of $200, which is $20.
2. Loans:
Banks are allowed to lend out a portion of the deposits they receive, known as excess reserves. The maximum increase in loans will depend on the excess reserves after meeting the required reserve ratio. In this case, since the required reserve ratio is 10% and the reserves increased by $20, the excess reserves available for lending will be $200 - $20 = $180.
3. Demand Deposits:
Demand deposits refer to the money deposited by customers that can be withdrawn on demand, such as checking account balances. When Mary deposited $200, her checking account balance increased by $200, which is also the maximum increase in demand deposits resulting from her deposit.

It's important to note that these calculations assume that the bank will fully utilize its excess reserves for lending and that no other factors, such as capital requirements or other regulations, restrict the lending capacity of the bank.

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Compare the three waves of developing technologies that made the world wide web a powerful business platform.

Answers

The Web of documents (Web 1.0), the Web of people (Web 2.0), and the Web of data are the three innovations that made up the World Wide Web, which is often divided into three periods (the still-to-be-realised Web 3.0)

What is meant by business platform?

An item that serves or makes possible other items or services is known as a platform.

There are numerous tiers of platforms (within the context of digital business). They can be either high-level platforms that enable a platform business model or low-level platforms that offer a set of business and/or technological capabilities that other goods or services use to deliver their own business capabilities.

There are business ecosystems connected to the platforms that support platform business models. The majority of the time, they use APIs to expose their capabilities to other ecosystem participants.

APIs are frequently used by internal platforms to expose their features. They might, however, provide other options, such direct data access.

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you have $6000 to invest, and you have two options: option a: 4.3% compounded monthly option b: 4.2% compounded continuously. (a) calculate the annual percentage yield for each option. (round your answers to three decimal places.) option a incorrect: your answer is incorrect. % option b 4.393 incorrect: your answer is incorrect. %

Answers

The true rate of return on an investment that takes into account the impact of compounding interest is known as the annual percentage yield (APY). Compared to simple interest, compound interest is calculated frequently and is immediately added to the account balance.

Annual percentage yield, which is based upon a one-year compounding period, normalizes the representation of an interest rate. The use of APY values enables meaningful, one-point comparison of many products with various compounding schedules.

High-yield accounts typically earn rates that are many times higher than standard savings accounts, which can sometimes earn rates as low as 0.01% APY, especially at large national banks. The finest high-yield accounts currently provide rates of roughly 4% APY.

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Carrie and Michael are married and will file a joint return. In addition to income from wages, they have a $5,000 long-term capital gain from the sale of stock. Their 2019 taxable income is $121,500. Their capital gain will be taxed at a rate of:

Answers

Answer: 15%

Explanation:

From the question, we are informed that Carrie and Michael are married and will file a joint return and that they have a $5,000 long-term capital gain from the sale of stock. We are further told that their 2019 taxable income is $121,500.

Based on the above scenario, their capital gain will be taxed at a rate of 15%. This is due to the fact that when filing their status, they will be regarded as married and the applicable rate is 15% for an income that is between $78,751 and $488,850. Since they've $121,500 their rate will be 15%.

which viability factor involves building relationships with a experienced professionals

Answers

Relationship factor helps in building relationships with a experienced professionals.

Give a brief account on Business viability.

Viability means that the business is (or may be) successful. A viable business is profitable, meaning it generates more revenue than you spend running it. If a company is not profitable, it is difficult to recover. Companies need to increase sales, reduce costs, or both. Profitability is closely related to solvency and liquidity as well as profit.

There are two processes to creating a profitable business. First, it means formulating a marketing strategy by knowing who you are, who you sell to, and who else you sell to. Second, it means your financial home is in order.  

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Write H if the resource is a human resource, and NH if it is a nonhuman resource. 1.Machines
2.Tools
3.Workers
4.Land
5.Water
6.Capital
7.Labor force
8.Time
9.Entrepreneur
10.Process​

Answers

1.H

2.H

3.NH

4.NH

5.H

6.NH

7.H

8.NH

9.H

10.H

Consider Bank A that has made a 3-month Eurodollar loan of $3,000,000 against an offsetting 6-month Eurodollar deposit. To eliminate the interest rate risk, Bank A has made a three-against-six FRA with another bank, Bank B. Suppose AR = 5.2% and on the settlement day SR = 5.1%. Which one of the following statements is true regarding Bank A on the settlement day? (Assume 3 months = 91 days)
Bank A has sold an FRA and thus is compensated by Bank B of the amount $748.27.
Bank A has sold an FRA and needs to pay Bank B of the amount of $758.10.
Bank A has bought an FRA and is compensated by Bank B of the amount $758.10.
Bank A has bought an FRA and needs to pay Bank B of the amount of $748.27.
All of the answers here are incorrect

Answers

On the settlement day, Bank A needs to pay Bank B an amount of $758.10 (option b). Bank A has made a 3-month Eurodollar loan of $3,000,000 and has offset this with a 6-month Eurodollar deposit.

To eliminate the interest rate risk, Bank A has entered into a three-against-six Forward Rate Agreement (FRA) with Bank B. The interest rates involved are as follows: AR (Agreed Rate) = 5.2% and SR (Settlement Rate) = 5.1%. Since AR is higher than SR, Bank A has sold the FRA to Bank B.

To determine the settlement payment, we need to calculate the net settlement amount. The formula for the net settlement amount for a three-against-six FRA is: Net Settlement Amount = Notional Amount x (SR - AR) x (Days in Settlement Period / Days in FRA Period) x (1 + SR x (Days in Settlement Period / 360))

Substituting the given values:

Notional Amount = $3,000,000

AR = 5.2% or 0.052

SR = 5.1% or 0.051

Days in Settlement Period = 91

Days in FRA Period = 181 (3 months = 91 days, 6 months = 181 days)

Net Settlement Amount = $3,000,000 x (0.051 - 0.052) x (91 / 181) x (1 + 0.051 x (91 / 360)) ≈ -$758.10

Therefore, on the settlement day, Bank A needs to pay Bank B an amount of approximately $758.10, which corresponds to option b.

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Conclude an entry barriers essay

Answers

Entry barriers refer to the obstacles that prevent new companies from entering a particular market or industry. The goal of implementing entry barriers is to create a competitive advantage for existing companies, which makes it difficult for new players to enter and compete in the market.

There are many different types of entry barriers, including economies of scale, access to distribution channels, regulatory hurdles, intellectual property rights, and brand recognition. It's important to note that entry barriers can have both positive and negative effects on competition and consumer welfare.

In conclusion, entry barriers can be an effective way for companies to maintain their competitive edge and protect their market share. However, policymakers and regulators must also consider the potential negative consequences of entry barriers, such as reduced innovation and higher prices for consumers. Ultimately, finding the right balance between promoting competition and protecting existing companies is key to maintaining a healthy and dynamic economy.

A corporation: distributes earnings to shareholders by paying dividends that are considered expenses on the corporation's income statement O increases its Retained Earnings account, which is an equity account, by paying shareholders dividends O distributes earnings to shareholders by paying dividends that reduce corporate equity O by paying the shareholders as outside consultants

Answers

A corporation distributes earnings to shareholders by paying dividends that reduce corporate equity.

Dividends are not considered expenses on the corporation's income statement, but rather they are a distribution of profits to the shareholders.

When dividends are paid, the Retained Earnings account, which is an equity account, decreases, reflecting the distribution of earnings to the shareholders. Dividends are not paid to shareholders as outside consultants; they are paid to shareholders based on their ownership in the corporation.

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assume that the united states and germany have an agreement that specifies that a us firm need not pay tax in germany on any earnings from its german subsidiary that are remitted to the united states in the form of dividends. this agreement would be an example

Answers

This agreement would serve as an illustration of a tax treaty in accordance with the provided statement.

What does a company's subsidiary mean?

A firm that also is owned or managed by a father or holding corporation is referred to as a subsidiary. The parent firm often owns a majority of the shell corporation. As a process, its majority shareholder takes command over the subsidiary. In certain circumstances, gaining power is as simple as being the dominant shareholder.

What kind of subsidiary is this, exactly?

The controlling business either creates or acquires subsidiaries. The subsidiary firm structure is known as an entirely holding company when the parent company owns 100% of a voting shares.

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please help, easy multiple choice question
whoops meant to put it in art

please help, easy multiple choice questionwhoops meant to put it in art

Answers

Answer: The answer that is correct is the last one, which is shape.

I hope this helped!

the enclosed space between where lines meet is called a shape:)

The expectation of a future devaluation of a fixed exchange rate will lead to Select an answer and submit. For keyboard navigation, use the up/down arrow keys to select an answer. a a sharp rise in reserves and a rise in the domestic interest rate above the world interest rate. b a sharp fall in reserves and an unchanged domestic interest rate. c a sharp fall in reserves and a rise in the domestic interest rate above the world interest rate. d a sharp rise in reserves and a fall in the domestic interest rate below the world interest rate.

Answers

Answer:

c a sharp fall in reserves and a rise in the domestic interest rate above the world interest rate.

Explanation:

A devaluation of fixed foreign exchange rate of a country will make the local currency cheaper compared to other currencies.

This implies that other countries will benefit more from buying the countries goods which are now cheaper (exports).

Imports will be more expensive as foreign currencies will have higher value.

Inflation results in this situation leading to increased interest rates aimed at curbing the fall of price of goods.

In order to maintain a level of stability in the economy also the reserves of the country will be used to stabilise the local currency. So reserves will fall.

What two factors influence an economic school of thought?(1 point)

Answers

Answer:

Free-market, or laissez-faire, economics and Keynesian theory.

Explanation:

The economic school of thought can largely be influenced by prevailing societal values and the historical context in which the theory is developed.

There are many factors that might influence an economic school of thought, but the two key elements are often prevailing societal values and historical context. Prevailing societal values can drastically influence an economic philosophy.

Furthermore, the historical context in which an economic thought emerges is crucial. Economists develop their theories in response to the economic challenges and realities of their time. The Great Depression deeply influenced Keynesian economics, and the stagflation of the 1970s prompted a shift towards monetarism.

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These skills enable the managers to make use of human potential in the company and motivate the employees for better results. *
A. Conceptual skills
B. Delegation
C. Human or Interpersonal Skills
D. Technical Skills

Answers

Answer
I think it’s D
Explanation

Who seeks out information about products a seller has to offer

Answers

Answer:

the owner of the product or the boss

Why would you use a chart AND data in Excel?
O colorful
graphically represents the data
easier to compile data
visually clearer
to analyze individual values

Answers

Answer:

a b d

Explanation:

:)

There are many reasons for which we can use Chart and Data in excel and some of them are that it:

Graphically Represents the data

Visually Clearer

To analyze individual values

What is Excel?

Excel is a Spreadsheet used to perform calculations and to record the numerical data and also perform functions on that data like Addition, Subtraction, Multiply, Average etc.

How can we represent data graphically on Excel?

In Excel there are various modes or designs in which one can represent data. For example, we can add charts like 2D clustered chart or 3d chart, pie charts. We can also insert tables with unlimited rows and columns.

Also we can add images which can more clearly represent the data.

Hence Excel is a most efficient way to compute data and also to Represent that data effectively.

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When prospecting, salespeople must first identify potential customers and then

A. Construct a prospect list
B. qualify their leads.
C. telephone each lead.
D. call on all prospects.

Answers

       A prospect list is a list of persons who might be interested in your product offering or who might gain anything from your business's goods or services.

Answer : A. Construct a prospect list

What constitutes a prospecting strategy's first step?

          On the surface: How to find potential consumers for your business through prospecting

Step 1 :Define your customer as the first step.

Step 2: Access online resources.

Step 3 :Gather prospect information in step three.

Step 4: Exploit additional avenues of opportunity.

Step 5: Make contact with your prospects in step five.

Step 6: Keep following up with your prospects and hone your list of them.

      Identification of prospective clients, often known as prospects, is the first step in the sales process.

       Prospecting is the initial stage of the sales process. You locate potential clients in this stage and assess whether they require your good or service and whether they can afford what you have to offer.

       Qualifying is the process of determining whether a customer needs your good or service and can afford it.

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If my revenue is one million and my expenses are 1,386,000, what's my profit in percentage

Answers

The profit in percentage given the revenue and the expenses is -38.60%

What is the profit in percentage?

Percentage is the fraction of a number expressed as a value out of 100. The sign that is used to represent percentage is %. In order to convert a number to percentage, multiply by 100.

Profit is the difference between revenue and expenses. Revenue is the total income earned by a company before any deductions are made. Expenses include all the cost incurred in running a business.

Profit = revenue - expenses

1,000,000 - 1,386,000 = -386,000

Profit in percentage = (profit / revenue) x 100

(-386,000 / 1,000,000) x 100 = -38.6%

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Which career pathway describes the two main aspects of the Business, Management, and Administration career
cluster?
O Management and Budgeting
Secretarial and Administration
Management and Administration
O Marketing and Business
PLEASE HELP ME

Answers

Answer:

Secretarial and Administration

Explanation:

Business, Management, and Administration can be defined as a strategic process which typically involves controlling, directing and organizing the personnel and resources of a business in order to achieve the goals and objectives of the business firm. Thus, it provides students with the requisite knowledge and skills for the effective and efficient management of the operations of a business based on factors such as finance, administrative functions, records, and secretarial.

Hence, the career pathway which describes the two main aspects of the Business, Management, and Administration career cluster are Secretarial and Administration. These two aspects deals with office management, records and book keeping, typing of documents, etc.

Answer:

C

Explanation:

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