A division of a manufacturing company has a return on investment of 24%. The division has an opportunity to accept a project that is expected to earn a return on investment of 22%. The company's target return on investment rate is 20%. Which of the following statements is true?

Answers

Answer 1

The division should accept the project because the return is greater than the company's target return on investment rate.

RI fosters goal congruence more effectively than ROI. The management's goal rate of return is incorporated into the equation. Different target rates of return might be used by management for divisions with various levels of risk.

a spending plan that will be updated each month to account for a department's actual expenses.

Compared to static budgets, flexible budgets are predicated on differing predictions of cost behavior. Instead of assuming different cost behaviors than static budgets, flexible budgets assume various levels of activity.

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Related Questions

Which examples demonstrate common qualifications for Security and Protective Services careers? Check all that apply.

Brooke negotiates with the prison inmates she supervises.
Ami is comfortable working alone and making decisions in her work as a Private Detective.
Reed thinks of creative solutions for defending a client in court.
Vincenzo attends college for many years and earns a juris doctor degree.
Shameka watches for unusual activities and signs of danger as she guards a bank building.
Teddy is a Lifeguard who uses his strength to pull a person out of the water.

Answers

Answer:

2,5,6

Explanation:

Ami,shameka,teddy

Answer:

2,5,6

Explanation:

Suppose the US economy in a recessionary gap. What monetary policies might be used to close the gap? Using the model of aggregate demand and aggregate supply, illustrate the effect of these policies.

Minimum 500-600 words.

Answers

When the US economy is in a recessionary gap, monetary policies can be utilized to close the gap. These monetary policies are mainly focused on the money supply and interest rates.

What does this entail?

Expansionary monetary policies will be implemented in the US economy during a recessionary gap. In other words, the Federal Reserve will increase the supply of money into the economy to stabilize it.

There are several monetary policies that can be used to close the gap during a recessionary gap:

1. Lowering the Discount Rate: The discount rate refers to the interest rate charged by the Federal Reserve to banks that borrow money from it.

Lowering the discount rate will result in lower borrowing costs for banks, which will increase the money supply. This, in turn, will help the economy in closing the recessionary gap.

2. Open Market Operations: The Federal Reserve can also engage in open market operations to buy securities such as bonds from banks.

This increases the money supply as the banks now have more money to lend. The increased money supply results in increased spending and production, which helps in closing the recessionary gap.

3. Quantitative Easing: The central bank can engage in quantitative easing by purchasing securities from banks and other financial institutions.

This policy can be used to increase the money supply and lower long-term interest rates.

In summary, expansionary monetary policies such as lowering the discount rate, open market operations, and quantitative easing can be used to close the recessionary gap in the US economy.

By increasing the money supply, these policies help to stimulate spending, which results in an increase in output and employment.

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In some cases, governments use trade and investment policies to keep foreign companies out of their countries. What is the purpose of such policies?
A.
to improve living standards
B.
to preserve historic sites
C.
to improve its educational standards
D.
to pursue technological innovation
E.
to protect domestic industries

Answers

Answer: I think it is A

Explanation:

(q011) what might be the reason why gay and lesbian couples spend twice as long doing domestic chores as their heterosexual equivalents?

Answers

Same-sex couples see domestic work as legitimizing their households, which makes domestic work a validating activity.

An equal-sex relationship is a romantic or sexual relationship among human beings of equal intercourse. same-intercourse marriage refers back to the institutionalized recognition of such relationships within the form of a wedding; civil unions may exist in international locations wherein identical-sex marriage no longer.

Opposite- or equal-sex popularity refers to whether or not the spouses or companions are of the opposite sex or equal intercourse. A couple own family refers to a family that carries a married or common-law couple.

Same-intercourse marriage, also called homosexual marriage, is the wedding of people of the identical sex or gender.

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Explain what the theory of money is in words and mathematicalexpressions, and then relate this proposition to its growth rateversion.

Answers

The theory of money refers to the concept of how money functions in an economy. Money is essentially a medium of exchange that enables the trading of goods and services.

Mathematically, the theory of money can be expressed through the equation of exchange, which states that the total amount of money spent in an economy is equal to the total amount of goods and services produced multiplied by the average price level.

MV = PT

where M is the money supply, V is the velocity of money (the rate at which money is spent), P is the price level, and T is the volume of transactions.

In terms of its growth rate version, the theory of money suggests that an increase in the money supply will lead to inflation. This is because an increase in the money supply will lead to an increase in demand for goods and services, which in turn will lead to an increase in prices. Therefore, central banks need to carefully manage the money supply to avoid high inflation rates that can damage the economy.

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Calculate the 4-day moving average for the following data (Remember that
you're finding 4 different averages)"
1
2
3
4
$182.60
$172.95
$160.08
$175.83
$152.01
$157.89
$148.48
5
6
7
Your answer

Answers

Answer:

116 . 100. 560 . 58

257 . 1100. 342 . 186

At a local grocery store, they sell a Visa card that has a prepaid amount on it. People can use this card anywhere, but it cannot be used for more than its prepaid value. Which type of card is this?

A.
a debit card

B.
a smart card

C.
a stored value card

D.
a retail credit card

Answers

The type of the card is  a Retail Credit card. Hence the option (D) is the correct one.

What is the function of retail credit cards work?

For retail credit cards, an image You can potentially obtain benefits at some retail establishments if you have a retail store credit card.

Decide if you want a card that restricts the retailers with which you may earn rewards or one that enables you to earn rewards for regular purchases. Benefits could consist of privileged access to funding, exclusive deals, discounts, and awards.

For instance, paying in whole for a motorcycle costing $10,000 would be excessive for a buyer.

Consumer will receive a $10,000 loan from retail credit institutions, which will be repaid with interest over a period of time in the form of monthly installments.

Hence the correct option is  (D).

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identify three of the many shared ethical standards among businesses that are incorporated in codes of ethics​

Answers

Social responsibility, fair pricing and truth in advertising.

In hw 2, you set up a linear program for an investor, the algebraic form of which is:

Answers

A linear program was set up for an investor in homework 2. This involved formulating an objective function and a set of constraints to mathematically model the problem. The linear program provided the investor with an optimal solution that balanced their objectives and limitations.

In homework 2, we were tasked with setting up a linear program for an investor. A linear program is a mathematical optimization technique used to find the best possible outcome in a situation with multiple constraints. In this case, the investor had certain objectives and limitations that needed to be taken into account.



The algebraic form of the linear program consisted of an objective function and a set of constraints. The objective function represented what the investor wanted to maximize or minimize, such as maximizing profit or minimizing risk. The constraints were the limitations or conditions that the investor had to adhere to, such as budget constraints or risk tolerance.


By setting up this linear program, we were able to mathematically model the investor's problem and find an optimal solution that met their objectives while satisfying the constraints. This approach allowed the investor to make informed decisions based on quantitative analysis rather than relying solely on intuition.

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A family with an income of 70,000 receives a raise of 2% in a year when inflation is 5%. Find the decrease in purchasing power.

Answers

Answer:

They make 3% less per year

Explanation:

I think this is what you're asking but don't quote me on it

you had purchased equipment for your business that was being depreciated over a 7-year life. the original cost of the equipment was $80,000 and $38,000 had been taken as cost recovery. today, you sold the equipment for $50.000. how much must be recaptured under section 1245 as ordinary income?

Answers

The amount that must be recaptured under Section 1245 as ordinary income is $8,000.

To calculate the amount that must be recaptured under Section 1245 as ordinary income, we first need to determine the adjusted basis of the equipment, which is the original cost minus any accumulated depreciation or cost recovery.

Adjusted basis = Original cost - Accumulated depreciation or cost recovery

Adjusted basis = $80,000 - $38,000

Adjusted basis = $42,000

We also need to determine the amount of gain on the sale of the equipment, which is the sale price minus the adjusted basis.

Gain on sale = Sale price - Adjusted basis

Gain on sale = $50,000 - $42,000

Gain on sale = $8,000

Under Section 1245 of the Internal Revenue Code, a portion of the gain on the sale of depreciable property may be treated as ordinary income. The amount of gain that is recaptured as ordinary income is equal to the lesser of:

The amount of depreciation or cost recovery previously claimed on the property (in this case, $38,000)

The amount of gain on the sale of the property (in this case, $8,000)

Since the gain on the sale of the equipment ($8,000) is less than the amount of cost recovery previously claimed ($38,000), the entire amount of gain on the sale is recaptured as ordinary income.

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The costs per equivalent unit of direct materials and conversion in the rolling department of oak ridge steel company are 180 and 62

Answers

Answer:

Equivalent units of direct materials= $180 per tons

Equivalent units of conversion =$62 per tons

Explanation:

Calculation to Determine the direct materials and conversion costs per equivalent unit.

Using this formula

Equivalent units of direct materials=Cost of direct materials transferred/Total equivalent units for direct materials

Let plug in the formula

Equivalent units of direct materials= $432,000/2,400

Equivalent units of direct materials= $180 per tons

Therefore the direct materials cost per equivalent unit will be $180 per tons.

Calculation for Equivalent units of conversion using this formula

Equivalent units of conversion=Conversion cost /Total equivalent units for Conversion

Let plug in the formula

Equivalent units of conversion=$144,150/2,325

Equivalent units of conversion= $62 per tons

Therefore the conversion cost per equivalent unit will be $62 per tons.

Select a topic and develop a curriculum targeted to 6th-grade students.

Provide an outline of the material and how it will be presented.

Defend your reasoning for the mode of delivery that was selected.

Submit a 450-word response about the topic, curriculum, material outline, and presentation method.

Answers

Explanation:

Provide an outline of the material and how it will be presented.

is the correct answer .

hope it is helpful to you☺️☺️☺️

Select a topic and develop a curriculum targeted to 6th-grade students. Provide an outline of the material

What a property sells for is its
a) market value.
b) sales price.
c) replacement value.
d) loan value.

Answers

A property sells for is its Market Value. Hence, option a) is correct.

Market value represents the estimated worth of a property based on various factors such as its location, condition, size, and current market conditions.

It is the amount that a willing buyer and a willing seller agree upon in a transaction. Market value is influenced by factors such as supply and demand, comparable sales in the area, and the overall state of the real estate market.

If there is high demand for properties in a particular area and limited supply, the market value is likely to be higher. Conversely, if there is an oversupply of properties or low demand, the market value may be lower.

It is important to note that market value may fluctuate over time as market conditions change.

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What is it called when a business contributes money, goods or services to an organization or event to gain the publicity related
A news release
B customer loyalty program
C sponsorship
D promotional tie-in

Answers

Answer is (C sponsorship )

Richard, age 55, is a client of yours who is looking for a new job. He is very interested in finding a company that offers a retirement plan and would like to know which type of plan would most likely be best for him. A.Money Purchase Plan B.Age Based Profit Sharing Plan C.Cash Balance Plan D.Traditional Defined Benefit Plan

Answers

Option D) Traditional Defined Benefit Plan. For Richard, age 55, a Traditional Defined Benefit Plan would most likely be the best retirement plan option.

Defined Benefit Plans provide a guaranteed retirement benefit based on a formula that takes into account factors such as salary, years of service, and age. These plans offer a predictable income stream during retirement, which can be particularly beneficial for individuals nearing retirement age.

Age-Based Profit Sharing Plans and Cash Balance Plans also have their merits but may not be as suitable for Richard's situation. Age-Based Profit Sharing Plans allocate contributions based on age, favoring younger employees. Cash Balance Plans are a hybrid between defined benefit and defined contribution plans, but they may not provide the same level of guaranteed income as a traditional defined benefit plan.

Money Purchase Plans are a type of defined contribution plan where contributions are made by both the employer and employee. While they offer portability, flexibility, and potential investment growth, the retirement benefit is not as predictable or guaranteed as a traditional defined benefit plan.

Considering Richard's age and interest in a company retirement plan, a Traditional Defined Benefit Plan is most likely the best option for him, providing a secure and predictable retirement income.

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In preparing a company's statement of cash flows using the indirect method, the following information is available:Net income $ 52,000Accounts payable decreased by 18,000Accounts receivable increased by 25,000Inventories increased by 5,000Depreciation expense 30,000Net cash provided by operating activities was:

Answers

Answer:

Statement of cash flows using the indirect method

Net income                                                              $52,000

Adjustments to net income:

Depreciation expense $30,000Increase in accounts receivable ($25,000)Increase in inventories ($5,000)Decrease in accounts payable ($18,000)    ($18,000)

net cash flow provided by operating activities    $34,000

Rosenthal Company manufactures bowling balls through two processes: Molding and Packasing In the Moiding Department, the urethane, rubber. plastics, and other materials are molded into bowling balls, In the Packaging Department. the balls are placed in cartons and sent to the finished goods warehouse. All materials are entered at the beginning of each process. Labor and manufacturing overhead are incurred uniformly throughout each process. Production and cost data for the Molding Department during June 2017 are presented below. Prepare a schedule showing physical units of production. UIIIS TU De dLlumiteuriu Work in process, June 1 Started into production Total units Units accounted for Transferred out Work in process, June 30 Total units Determine the equivalent units of production for materials and conversion costs. Compute the unit costs of production. (

Answers

Physical Units of Production Schedule: Process Units Units to Account for Units Accounted For Ending Work In Process Molding Department: Beginning Work in Process 11,000 Started into Production 63,000 Total Units to Account For 74,000 Units Transferred Out 62,000 Ending Work in Process 12,000 Total Units Accounted For 74,000 Equivalent Units Schedule:

Material Conversion Costs Units Completed and Transferred Out 62,000 62,000 Ending Work in Process 2,000 2,000 Total Equivalent Units 64,000 64,000Unit Costs of Production:

Total Costs of Molding Department = Cost of Beginning WIP Inventory + Cost Added During June Cost of Beginning WIP Inventory is given as $44,520 ($18,000 materials cost + $26,520 conversion costs)

Cost added during June is calculated by adding total costs (materials cost + conversion cost) during June. It is calculated as $274,190 + $219,430 = $493,620Cost per equivalent unit = Total cost ÷ Total equivalent units Cost per equivalent unit = $493,620 ÷ 64,000 = $7.71 (approx)

Therefore, the schedule showing physical units of production, equivalent units of production for materials and conversion costs and unit costs of production of Rosenthal Company has been prepared above.

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A _____ is composed of a group of people that seeks to influence the strategies of the government by getting people elected to official government positions.

Answers

A Political party is composed of a group of people that seeks to influence the strategies of the government by getting people elected to official government positions.

What are political parties called ?A political party is a group that organizes candidates to run for office in a given nation. Parties may support particular ideologies or political objectives, and it is typical for party members to share similar political views.As contemporary party organizations evolved and expanded around the world over the past several centuries, political parties have grown to play a significant role in the politics of practically every nation. Unpolitical parties are relatively uncommon in a nation. While some nations only have one political party, others have many. Both democracies and autocracies use parties in their political systems, however democracies often have more political parties than do autocracies.Parties can emerge from social differences that already exist, such as those between the poorer and upper classes, and by promoting cooperation among their members, they simplify the political decision-making process.

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If you invest for a single period at an interest rate of r, your money will grow to ______ per dollar invested.

Answers

If you invest for a single period at an interest rate of r, your money will grow to (1 + r) per dollar invested.

How to determine the rate of growth of a single period investment

The formula for calculating future value of an investment is:

FV = P (1 + r)^n

Where:

FV = Future value P = Present value R = interest rate N = number of years

For example, if you invest $100 in an account that earns 10% per annum. The future value is:

$100 X ( 1 + 0.1)

$100(1.1) = $110.

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What is a sales forecast?
A. A prediction of what other businesses will make similar products
B. A prediction of how many customers a business will have visit its
store
C. A prediction as to the volume of sales that a business expects to
make in the upcoming future

Answers

A sales forecast is A prediction as to the volume of sales that a business expects to make in the upcoming future. Thus the correct option is C.

What is the objective of the sales Forecast?

A sales forecast is a projection of the engagements that will go through the selling process and is a statement of anticipated sales revenue that expresses how much your organization anticipates selling within a specific time frame.

Making well-informed choices about the management of the firm, including decisions about staffing and inventory, new product lines, and prospective marketing initiatives, is aided by sales predictions.

By the use of sales forecasting, firms can more correctly predict their expenses and revenue. Time and money wasted on unsuitable candidates or customers must be reduced for better prospecting.

Therefore, option C is appropriate.

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Building a positive and ethical reputation requires a firm to:
a. Offer products that are somewhat better than their competitors.
b. Convey a compelling story about the firm and what it stands for.
c. Avoid attention from the news media.
d. Pay opinion leaders to write positive reviews.

Answers

Building a positive and ethical reputation requires a firm to convey a compelling story about the firm and what it stands for. This approach involves communicating the company's values, mission, and purpose effectively to its target audience, which helps establish a strong and positive reputation based on ethical practices and transparency. The correct option is b.

This means that the firm must clearly communicate its values, mission, and goals to its stakeholders, including customers, employees, investors, and the general public. By doing so, the firm can build trust, loyalty, and support among its stakeholders, which can help to enhance its reputation and competitive advantage.

Offering products that are somewhat better than their competitors may be important for gaining a competitive advantage, but it is not enough to build a positive and ethical reputation. Building a reputation requires a long-term commitment to ethical behavior and social responsibility, which involves more than just offering high-quality products or services.

The correct option is b.

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Which of the following three situations is least likely to occur at the same time as the other two situations? Why?
1) Real GDP is less than potential GDP.
2) An economy in a strong, 5-year expansion.
3) An unemployment rate above the natural rate of unemployment.

Answers

Answer: I'm going to take a guess and say 1 and 3.

Explanation: Just taking a guess.

in 1998, the russian government defaulted on its bonds. according to the open-economy macroeconomic model, this should have a. increased russian interest rates and net exports. b. increased russian interest rates and reduced russian net exports. c. reduced russian interest rates and increased russian net exports. d. reduced russian interest rates and net exports.

Answers

According to the open-economy macroeconomic model, the Russian government defaulting on its bonds should have reduced Russian interest rates and net exports(D).

When a government defaults on its bonds, it sends a negative signal to investors, causing them to lose confidence in the country's ability to repay its debts. As a result, investors demand a higher premium on holding Russian debt, leading to an increase in interest rates.

However, this increase in interest rates also leads to a stronger currency, making exports more expensive and reducing net exports. On the other hand, a reduction in interest rates, which could happen if the government defaults on its bonds, would lead to a weaker currency, making exports more competitive and increasing net exports.

Therefore, the correct answer is that a default should lead to a reduction in Russian interest rates and net exports(D).

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Describe four strategies for reaching global markets and provide an example of each.

Answers

These strategies provide companies with different ways to expand their reach and tap into global markets. To reach global markets, companies can employ various strategies. Here are four strategies along with examples:

Exporting: This strategy involves selling products or services to customers in foreign countries. A company can export by directly selling its products or by using intermediaries like distributors or agents. Licensing: This strategy allows a company to grant permission to a foreign company to manufacture and sell its products or use its intellectual property. An example is a technology company licensing its software to a company in another country to produce and sell locally.

Joint Ventures: This strategy involves forming a partnership between a domestic company and a foreign company to establish a new entity. Both companies contribute resources, knowledge, and expertise to the venture. Foreign Direct Investment: This strategy involves establishing a physical presence in a foreign country through the creation of subsidiaries or acquiring existing companies. An example is a multinational beverage company building a production facility in Brazil to cater to the South American market.

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What is the least amount of money a student should receive when doing work
study?
о A. $6 an hour
о B. Federal minimum wage
OC. State minimum wage
D. $7 an hour
SUBMIT

Answers

The correct answer is B. Federal minimum wage. The Federal Work-Study program requires that students be paid at least the federal minimum wage, which is currently $7.25 per hour.

Some states have a higher minimum wage rate, so if the state's minimum wage is higher than the federal minimum wage, then the student would need to be paid at the higher state rate.

When there are conflicting minimum wage rates, employers are required to pay the higher rate. It is important to note that some types of workers, such as tipped employees and workers with disabilities, may have a different minimum wage rate under certain circumstances.

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Which are two features of a bond?

-pays a coupon rate

-represents ownership in a company

-is perpetual

-can be “flipped” for profit

-has a maturity date

PICK TWO please

Answers

Answer:

-pays a coupon rate

-has a maturity date

Explanation:

A bond is a debt instrument used mostly by governments and corporates to raise funds for long-term projects. The bond issuer borrows funds from the purchaser. The issuer offers to regularly pay interest on the borrowed amount until the maturity date to attract buyers or investors. To the investors or lenders, a bond is a long term investment tool.

The coupon rate determines the attractiveness of a bond. The coupon rate is the interest rate that the issuer will use to calculate the amounts to pay regularly.  Bonds have a maturity date. It is the time when the principal amount is to be paid back in full.

what multiplication do you do to convert currency ​

Answers

To convert from the base currency, we multiply by the exchange rate. Just like multiplying to apply a commodity price.

Hope it helpss:))

Explanation:

you multiply by the exchange rate.

which is the correct answer?
For a company entering in a foreign market, pressure for cost reduction will be lower, if: distribution channel are different competition is tough consumer taste and preferences are different consumer taste and preferences are similar

Answers

The correct answer is "consumer taste and preferences are similar."


When a company enters a foreign market, the pressure for cost reduction will be lower if consumer taste and preferences are similar. Here's why:

1. Consumer preferences: When consumer taste and preferences are similar between the domestic and foreign markets, the company can leverage its existing products and marketing strategies. This reduces the need for significant customization or adaptation, which can be costly.

2. Economies of scale: Similar consumer preferences enable the company to achieve economies of scale by producing and distributing standardized products. This can lead to lower production and distribution costs, increasing cost efficiency.

3. Marketing effectiveness: Similar consumer preferences allow the company to use similar marketing messages and strategies in the foreign market. This reduces the need for extensive market research and customization of marketing campaigns, resulting in cost savings.

4. Competitive advantage: If consumer taste and preferences are similar, the company may face less competition from local firms that are less familiar with those preferences. This can give the company a competitive advantage, allowing it to maintain higher profit margins without the need for significant cost reduction.

In summary, when consumer taste and preferences are similar in a foreign market, a company entering that market will experience lower pressure for cost reduction. This is because similarities in preferences enable cost-saving measures such as leveraging existing products, achieving economies of scale, improving marketing effectiveness, and gaining a competitive advantage.

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Why miscommunication and misunderstanding happen

Answers

Answer:

misunderstanding happens due to the distance . misunderstanding happen due to lack of time to solve problem . misunderstanding happens due to third person between two persons . misunderstanding happens due to the virtual world .

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