4) What is the relationship between Santa Claus and Coca Cola, Why did Santa Claus appear in Coca Cola commercials? (25 points)

Answers

Answer 1

Santa Claus and Coca-Cola are intertwined because Coca-Cola contributed to the development of the modern-day Santa Claus image and has portrayed him in their Christmas commercials.

The relationship between Santa Claus and Coca-Cola is that Coca-Cola contributed to the development of the modern-day Santa Claus image. Santa Claus, who was created in the United States in the late 1700s, was portrayed in a variety of ways. For starters, he was a tall and skinny man who wore a number of colors, including green, blue, and red.

Coca-Cola, which was founded in 1892, took advantage of Santa Claus's popularity by portraying him in their commercials. Santa was initially portrayed wearing a range of clothing, but by the 1920s, Coca-Cola had put their mark on him.

To know more about development  visit:-

https://brainly.com/question/29659448

#SPJ11


Related Questions

Question 7 of 25
Social Security withholding is an example which tax

Answers

Regressive tax - larger proportion of lower-income earners’ total income is withheld, compared to high-income earners

Answer: regressive tax

Explanation:

A property's value is dropping because the neighboring property's yard is filled with trash. What's this an example of

Answers

An example of purchase money is when property's value is dropping because theneighboring property's yard is filled with trash.

What is a purchase money?

Purchase money can be regarded as the consideration paid or to be paid by the purchaser of property.

It involves a debt thst is been secured by the property purchased with the money borrowed

Learn more about money at:

https://brainly.com/question/329739

true or false, to advance the progress completion percentage in a smartbook assignment, only one question per concept must be answered correctly

Answers

Answer:

False

Explanation:

A SmartBook assignment's progress completion % may not always be dependent on correctly answering just one question per idea. The requirements for increasing a SmartBook assignment's progress completion percentage can change based on the particular assignment, the course, and the instructor. It could be determined by properly answering a predetermined number of questions overall, a predetermined number of questions in each topic area, or by doing a predetermined number of activities or evaluations inside the assignment. The easiest way to find out the precise requirements for raising the progress completion percentage in a SmartBook assignment is to study the assignment instructions or speak with the instructor.

To learn more about this visit: https://brainly.com/question/14439359

The assets and liabilities of a company are $128,000 and $84,000, respectively. stockholders' equity should equal?

Answers

Answer:

stock should be $44,000

The assets and liabilities of a company are $128,000 and $84,000, respectively.  Stockholders' equity should equal to $44,000.

What is stockholder?

Stockholder is defined as a person who holds at least one share of the capital stock of an organization, such as a shareholder. A shareholder may be a corporate owner based on the number of shares they possess. Even though they do not possess any equity in a firm, stakeholders are just like shareholders in that they are concerned about its performance. However, they might or might not be interested in making money.

A business's assets are things it owns that will be useful to it in the future. Items that are obligations for a firm are known as liabilities. The effects of depreciation Assets are subject to depreciation. Liabilities are not subject to depreciation.

Stockholders' equity = $128,000 - $84,000

                                   = $44,000

Thus, the assets and liabilities of a company are $128,000 and $84,000, respectively.  Stockholders' equity should equal to $44,000.

To learn more about stockholder, refer to the link below:

https://brainly.com/question/16225453

#SPJ12

Kogler Corporation's relevant range of activity is 7,000 units to 11,000 units. When it produces and sells 9,000 units, its average costs per unit are as follows:


Average cost per unit


Direct Materials $4.60

Direct Labor $4.20

Variable manufacturing overhead $1.40

Fixed manufacturing overhead $8.00

Fixed selling expense $3.20

Fixed administrative expense $1.70

Sales commissions $0.70

Variable administrative expense $0.65

If the selling price is $23.00 per unit, the contribution margin per unit sold is closest to:


A: $17.45

B: $0.30

C: $14.65

D: $5.80

Answers

I thank the answer is $17.45

Colin, Demi, and Erin agree to be partners in Fajita Pizza, splitting the profits equally. Colin contributes 65 percent of the capital. When Fajita Pizza is dissolved, its liabilities are greater than its assets. In the absence of a contrary agreement, the losses are paid by
a. all of the partners in proportion to their shares of the profits.
b. Colin because he contributed most of the capital.
c. all of the partners in proportion to their capital contributions.
d. Demi and Erin because they contributed the least of the capital.

Answers

The answer is c. All of the partners are responsible for the losses in proportion to their capital contributions, unless there is a contrary agreement in place.

In this case, Colin contributed 65 percent of the capital, and therefore is responsible for 65 percent of the losses. Demi and Erin, who contributed the remaining 35 percent of the capital, are responsible for the remaining 35 percent of the losses. This is because in a partnership, each partner is liable for the debts and obligations of the business. In the absence of a contrary agreement, partners are expected to share the profits and losses of the business equally based on their capital contributions. Therefore, it is important to have a partnership agreement in place that outlines each partner's responsibilities and liabilities in case of losses or other issues that may arise in the course of running the business.

Learn more about liabilities here:

https://brainly.com/question/15006644

#SPJ11

At any given point in time, households would demand a ____ quantity of loanable funds at ____ rates of interest. a. greater; higher b. greater; lower c. smaller; lower

Answers

Answer:

b. greater, lower

Explanation:

What are the five key factors about financial investment?

Answers

The placement of money or capital into financial assets or instruments with the hope of making a return or profit over time is referred to as a financial investment. Individuals, companies, and institutions all make financial investments in an effort to protect and increase their wealth.

The five key factors of financial investment are as follows:

1. The rate of return-The rate of return is the percentage that investors make on their investment over a specified period. The rate of return is determined by comparing the amount earned with the amount invested.

2. The level of risk-The level of risk associated with an investment refers to the probability of losing money. Risk and return are interrelated. If an investment is high-risk, it should produce a high return. Conversely, low-risk investments yield lower returns.

3. Liquidity- Liquidity is the ability of an asset to be converted to cash. Some investments are more liquid than others.

4. Tax implications- Taxes have a significant impact on investment returns. Investors should be aware of the tax implications of different investment options.

5. Time horizon- The time horizon refers to the amount of time that an investor is willing to hold an investment. An investor's time horizon should influence their investment decisions.

To know more about Financial Investment visit:

https://brainly.com/question/31915177

#SPJ11

Dividend Payout Ratio Smith & Sons, Inc, disclosed the following information in a recent annual report: 2015 2016 Net Income $35,000 $55,000
Preferred stock dividends 3,000 3,000
Average common stockholders' equity 1,200,000 1,500,000
Dividend per common share 1.20 1.20 Earnings per share 1.90 2.05 Market price per common share, year-end 19.50 21.00 Calculate the dividend payout for Smith & Sons for 2015 and 2016. Round answers to one decimal place. (Ex. 0.2345 23.5%) 2015 ___ % 2016 ___ %

Answers

The dividend payout ratio is the ratio of the total amount of dividends paid out to shareholders relative to the net income of the company. It is an important measure of how much money a company is returning to shareholders versus how much it is keeping on hand to reinvest in growth, pay off debt, or add to cash reserves.

To calculate the dividend payout ratio for Smith & Sons for 2015 and 2016, we need to divide the total dividends paid to common shareholders by the net income for each year. The formula for the dividend payout ratio is:

Dividend Payout Ratio = Total Dividends Paid to Common Shareholders / Net Income

For 2015:
Total Dividends Paid to Common Shareholders = Dividend per Common Share x Average Common Stockholders' Equity = $1.20 x 1,200,000 = $1,440,000
Net Income = $35,000
Dividend Payout Ratio = $1,440,000 / $35,000 = 41.1%

For 2016:
Total Dividends Paid to Common Shareholders = Dividend per Common Share x Average Common Stockholders' Equity = $1.20 x 1,500,000 = $1,800,000
Net Income = $55,000
Dividend Payout Ratio = $1,800,000 / $55,000 = 32.7%

Therefore, the dividend payout ratio for Smith & Sons for 2015 is 41.1% and for 2016 is 32.7%.

To know more about dividend refer here :

https://brainly.com/question/29510262#

#SPJ11

Schumpeter (1934) made an early characterization of innovation as any of five phenomena: 1. The introduction of a new good 2. The introduction of a new method of production 3. The opening of a new market 4. Access to (‘conquest of') new sources of raw materials or components 5. The introduction of new forms of organization Do you agree with his characterization? Justify your answer.

Answers

Answer:

Yes I agree

Explanation:

I do agree with the early characterization of innovation for the following reasons. They are :

-- The meaning of innovation means that its a new idea, a new method or a new product. It deals with the newness of any thing. Now for the characterization of innovation by Schumpeter, it suggests that it deals with the newness of any item or market or any product. Some of the people may argue that a market place is  not a new concept, it existed from before and the marketers do identify the market. So it is a innovation and not a discovery.

Thus innovations is also about identification and exploring the unexplored areas.Innovation is a vast word and have a vague meaning. Schumpeter characterized suggests that innovation covers a wide area.

*PLEASE HELP ME!*

Sara could practice her guitar or complete her calculus homework. She does not really want to practice her guitar but does so anyway, what is her trade-off?

practicing her guitar
completing her calculus homework
the time it took her to practice guitar.
practicing her guitar and doing her calculus homework

Answers

Answer:

C

Explanation:

If a product is considered a bundle of attributes, what would be two attributes of a tube of toothpaste

Answers

If a product is considered a bundle of attributes, the two attributes of a tube of toothpaste will be: Weighs 10 grams and is Water resistant.

A product is considered a bundle of attributes that could be tangible or not.

In describing the product attributes of a toothpaste tube, we could reference the fact that it is lightweight and is resistant to water.

These attributes are the features that make the product attractive to consumers.

Learn more about product attributes here:

https://brainly.com/question/14563539

Answer: Flavor of toothpaste & Size of container

Explanation:

The correct answer for smartbook.

Donald Trump wanted to pull us out of the WTO because he thought China was cheating. Would you stay in or leave?

Answers

Answer: I hate Trump and would make him eat tortilla chip vertically :/

Explanation:

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

Answers

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

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

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

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

To learn more on opportunity cost, here:

https://brainly.com/question/13036997

#SPJ4

The wraparound approach seeks to help people through complex life problems as they go through four phases, including engagement team preparation, plan development, plan implementation, and _____.


transition
guilt
premonition
denial

Answers

Premonition sounds about right

How much should Jose invest in the company's 401k program? a) 15% of his salary. b) 50% of his salary. c) 75% of his salary. d) 5% of his salary. e) 10% of his salary.

Answers

Jose should invest 15% of his salary in the company's 401k program. Thus, the correct answer is A.

This is because his company matches up to 15% of his salary, so by investing 15%, he is maximizing the amount of money that his company will contribute to his retirement fund. This will help him build up his savings for retirement more quickly and effectively. Additionally, investing 15% of his salary is a reasonable amount that will still allow him to cover his basic living expenses and other financial obligations.

Investing in a 401k program is a smart financial decision because it allows individuals to save for retirement while potentially receiving a match from their employer. Jose should aim to invest at least the amount that his company is willing to match to maximize his benefits.

However, he should also consider his current financial situation and determine if he can afford to contribute more. Jose should aim to balance his retirement savings with paying off debt and building an emergency fund. It's essential to have a diversified portfolio of investments and regularly review and adjust contributions to reflect changing financial circumstances and goals.

This question should be provided as:

Alexis and Jose have been dating since high school. They are both college graduates and plan to marry this fall. Alexis just found out she is pregnant and will be expecting next spring. Jose has a full-time job with benefits; it comes with a cafeteria-style benefits plan wherein he can choose which type of insurance he wants and whether he wants to invest in his company's 401k plan. His company matches up to 15 percent of his salary. Right now, his salary is substantial enough to cover basic living expenses. He tracks each month's expenses on a spreadsheet. Alexis is working a part-time job that offers no benefits. She is bringing in a nominal amount toward the family income, but plans to put most of these earnings toward a small wedding. Both Alexis and Jose have incurred a significant amount of student loan debt and each have a couple of credit cards. They currently rent and share ownership of a single vehicle. They have little other assets. Neither one of them has a significant savings account or has started investing in a retirement fund. They have a lot of important financial decisions ahead of them. Help them make some of those decisions by answering the questions that follow.

Learn more about safe investment https://brainly.com/question/27717275

#SPJ11

If a company has four lots of products for sale, purchase 1 (earliest) for $17, purchase 2 (middle) for $15, purchase 3 (middle) for $12, and purchase 4 (latest) for $14, which cost would be assumed to be sold first using LIFO costing

Answers

Using the LIFO costing method, the cost that would be assumed to be sold first is $14.

What is the LIFO costing method?

The LIFO costing method is the inventory costing method that assumes that units sold first are from those that are newly purchased.

The LIFO (Last-in, First-out) method is different from the FIFO method which assumes that units sold first are those that are purchased at the beginning.

Thus, using the LIFO costing method, the cost that would be assumed to be sold first is $14.

Learn more about the LIFO costing method at https://brainly.com/question/24938626

Select a single stock issue, then perform each of the ratio valuations, covered in the lesson. Compare the information and make a recommendation on the value of the stock, and whether it is a good investment. Your submission must list the name of the stock, the data. The information was obtained, the source from which the information was drawn, and a list of each of the ratio models, showing the results. Also, prepare a narrative of at least two paragraphs that analyzes your findings and indicates your recommendations.

Select a single stock issue, then perform each of the ratio valuations, covered in the lesson. Compare

Answers

We should note that stock valuation helps to predict the future price or potential market prices for the investors to time their sales or purchase of investments. Its values the intrinsic value of the stock that shows the profitability of the business and its future market value.

What is the stock valuation of Apple Inc?

In this context, let's assume we're analyzing Apple Inc. (AAPL), a technology company that designs, manufactures, and markets mobile communication and media devices, personal computers, and portable digital music players.

One key ratio valuations that investors might use to assess the value of AAPL is Price-to-earnings ratio (P/E ratio). This ratio compares the current stock price to the company's earnings per share (EPS). A high P/E ratio suggests that investors are willing to pay a premium for the stock based on its earnings potential.

To calculate the P/E ratio for AAPL, we would divide the current stock price by the company's EPS. As of 2022, AAPL had a P/E ratio of around 28, which is slightly higher than the industry average of around 24.

Read more about stock valuation

brainly.com/question/28384706

#SPJ1

Taeyun is retired and his sole source of income is his bond portfolio. Although he has sufficient principal to live on, he only wants to spend the interest income and thus is concerned about the purchasing power of that income. Which one of the following bonds should best ease his concerns? Multiple Choice a. 20-year coupon bonds b. 5-year TIPS c. 5-year municipal bonds d. 6-year coupon bonds e. 7-year income bonds

Answers

5-year TIPS bonds should best ease his concerns. The answer is OPTION B .

A collection of investments that are primarily made up of bonds is called a bond portfolio. Bond portfolios, which generate income in the form of coupons, are sometimes referred to as fixed income portfolios. According to the rule of 110, you should invest as much of your money in stocks as your age is times 110.

According to the 110-30 rule, if you are 30 years old, you should have 80% (110-30) of your money invested in stocks and 20% in bonds. The U.S. Treasury bill, sometimes known as a T-bill, is the safest kind of bond. These are ultrashort fixed-income instruments with maturities of one year or less that were issued by the US government.

To learn more about bonds, click here.

https://brainly.com/question/17405470

#SPJ4

Pennewell publishing inc. (pp) is a zero growth company. it currently has zero debt and its earnings before interest and taxes (ebit) are $80,000. pp's current cost of equity is 10%, and its tax rate is 40%. the firm has 10,000 shares of common stock outstanding selling at a price per share of $48.00. refer to the data for pennewell publishing inc. (pp). pp is considering changing its capital structure to one with 30% debt and 70% equity, based on market values. the debt would have an interest rate of 8%. the new funds would be used to repurchase stock. it is estimated that the increase in risk resulting from the added leverage would cause the required rate of return on equity to rise to 12%. if this plan were carried out, what would be pp's new value of operations?




a. $484,359




b. $521,173




c. $584,653




d. $560,748




e. $487,805

Answers

Answer:

The pp's new value of operations would be $487,805. The right answer is e

Explanation:

According to the given data we have the following:

ke=12%

kd=8%

wd=30%

we=70%

To calculate the pp's new value of operations we would have to calculate the WACC as follows:

WACC=we*ke+wd*kd*(1-t)

WACC=70%*12%+30%*8%*(1-0.4)

WACC=9.84%

Therefore,  pp's new value of operations=EBIT(1-t)/WACC

=$80,000(1-0.4)/9.84%

=$487,805

The pp's new value of operations would be $487,805

Persistance pays off.

Answers

Answer:

yes

Explanation:

yes because most of the. work hard in doing there jobs

An innovative business idea that no one has never had

Answers

An innovative business idea that no one has never had is Offering virtual assistance to other businesses.

What is innovative business idea ?

innovative business idea can be described as an idea in business that cn be developed so that it can be a way to earn a living by providing the services or the goods to the consumer.

It should be noted that this innovation can be the one that no one has ever done or the modification of the one that has been in exisitence, however providing the virtual assistance serves as one of the innovation in business that can ring profit.

Read more about business at:

https://brainly.com/question/26106218

#SPJ1

Complete question:

State An innovative business idea that no one has never had

What does the curved line on this position vs speed graph indicate

Answers

Answer:

if the velocityis changing,then the slope is changing

Explanation:

thx

In a monopolistically competitive industry, the firms are currently making an economic profit. When this market moves to its long-run equilibrium, the firms' demand curves will have ________ and their economic profit will have ________. A) shifted leftward; decreased to zero B) shifted leftward; decreased but remain greater than zero C) shifted rightward; decreased to zero D) remained the same; decreased to zero

Answers

When this market moves to its long-run equilibrium, the firms' demand curves will have shifted leftward and their economic profit will have ; decreased to zero. Hence option (a ) is the answer.

What happens when firms make an economic profit in monopolistic competition?

The company creates an output where marginal revenue and marginal cost are equal, and it sets its pricing in accordance with its demand curve. Any economic gains or losses will eventually be offset by entry or exit in monopolistic competition, leaving enterprises with no economic profit.

More businesses will enter the market with products that are close substitutes as long as businesses operating in a market that is monopolistically competitive are profitable. In monopolistic competition, businesses make economic profits in the near term, but not over the long term. The latter is also a result of the industry's openness to join and departure.

To learn more about monopolistic competition, visit:

https://brainly.com/question/28189773

#SPJ1

A skill is a learned or practiced ability to perform an activity well.


True

False

Answers

Answer:

true

Explanation:

Should High School make it mandatory for all students to wear school uniforms each day to school?

Answers

Answer:

Explanation:

No i believe that students should not have to wear uniform to school it should be up to students

Gillespie enterprises inc. Issued $26 million in new common stock.
b. Cal state university received $20,000,000 cash for 80,000 five-game-season football tickets. None of the games have been played.
c. Cal state played the first football game referred to in (b).
d. Hall construction company signed a contract with a customer for the construction of a new $500,000 warehouse. At the signing, hall received a check for $50,000 as a deposit to be applied against amounts earned during the first phase of construction. Answer from hall's standpoint.
e. A popular snowboarding magazine company received a total of $1,800 today from subscribers. The subscriptions begin in the next fiscal year. Answer from the magazine company's standpoint. F. T-mobile sold a $100 cell phone plan for service in september to a customer who charged the sale on his credit card. Answer from the standpoint of t-mobile.

Answers

Question Completion:

For each of the transactions, if revenue is to be recognized in September, indicate the amount.  If revenue is not to be recognized in September, explain why.

Answer:

a. The issue of $26 million in new common stock by Gillespie Enterprises, Inc. is not a revenue transaction.  It is an equity transaction.  Revenue cannot be recognized, but it is a Cash Inflow from financing activity that should be recognized.

b. Since none of the games had been played, Cal State University should not recognize any revenue.  Revenue can only be recognized when a game has been played and some of the tickets used for the played game.

c. $4,000,000 ($20,000,000/5) should be recognized as revenue since the first football game has been played.  Recall that the tickets were for 80,000 five-game-season football games.

d. From Hall Construction Company's point of records, no revenue had been earned.  The deposit of $50,000 received can only be recognized as revenue when the first phase of construction had been completed.

e. The snowboard Magazine Company cannot recognize any amount out of the $1,800 as the subscriptions received are for the next fiscal year.

f. $100 should be recognized as revenue by T-mobile since the service is for September.

Explanation:

The Revenue from Contracts with Customers (IFRS 15 and ASC 606) standard indicates that revenue can only be recognized when the contract's performance obligation has been fulfilled.

A convenience product would most likely be promoted through _____.

A. segment marketing
B. mass marketing
C. niche marketing
D. micromarketing

Answers

Answer:

a. segment Marketing

Explanation:

hope it helps you

Which of the following is an example of a soft skill?
A. Ability to use CSS spreadsheets
B. Ability to manage spreadsheets
C. Ability to work well with a project team
D. Ability to manipulate images using computer software

Answers

Answer:

Ability to work well with a project team

Explanation:

How do I check the status of my LLC in michigan?

Answers

To check the status of your LLC in Michigan, you will need to visit the Michigan Department of Licensing and Regulatory Affairs (LARA) website. On the LARA website, you can find a business entity search tool which allows you to search for your LLC by name or file number.

You can also find the status of your LLC by calling the LARA’s Corporations Division at (517) 241-6470. Provide them with the name of the LLC and they will be able to tell you if the LLC is in good standing or if it has been dissolved or forfeited.

An LLC, or limited liability company, is a type of business entity that provides personal liability protection for its owners, called members. Checking the status of an LLC in Michigan is an important step in ensuring that your business is in compliance with state regulations.

It's important to note that LLCs are required to file annual reports with the state, and failure to do so can result in the LLC being administratively dissolved or forfeited.

In addition, checking the status of your LLC and ensuring that it is in good standing with the state can help you avoid issues when it comes to taxes, legal disputes, or other matters related to your business.

To know more about limited liability company refer to-

brainly.com/question/18567855#

#SPJ11

Other Questions
Caroline was out at a restaurant for dinner when the bill came. Her dinner came to $22. After adding in a tip, before tax, she paid $25. 8. Find the percent tip. this is so confusing i do not understand what this even is 5 Gal of OJ cost $ 10.00. How much does each Oz of OJ cost,0.016 cents /oz.015/ Oz.014 /oz .017 /oz Identify the correct and incorrect statements about voter turnout among racial and ethnic groups The graphic organizer shows the steps to writing an informative essay.When should a writer develop the TOPIC of the essay?during prewriting onlyduring drafting onlyduring prewriting and revisingduring drafting and revising Historically, and in general, all of the following groups tend to vote Democrat EXCEPT: a. White men b. Minorities c. Poorer Americans d. Women. Given your utility function of TU=30YX, the price of Y is $3, and the price of X is $9. Your parents are pleased with your academic performance and want you to be happy. You've convinced them to give you $1000. How much happiness will you achieve with $1,000 TU=30YP y = $3P x = $9 Optimal combination of Y and X : Y and X(8 marks ) Happiness resulting from the $1,000 "Suppose X is normally distributed with a mean of u = 12 and a standard deviation of g = 1.4. Find the z-score corresponding to x = 15.5. Show your work." A 35-year-old person who wants to retire at age 65 starts a yearly retirement contribution in the amount of $5,000. The retirement account is forecasted to average a 6.5% annual rate of return, yielding a total balance of $431,874.32 at retirement age.If this person had started with the same yearly contribution at age 20, what would be the difference in the account balances?A spreadsheet was used to calculate the correct answer. Your answer may vary slightly depending on the technology used. $266,275.76 $215,937.16 $799,748.61 $799,874.61 6. Which of the following lines is perpendicular to the line **4y = -- 24 and passes through the point (6 - 2)(A) y a 4x 22(B) yax - 22(C) y = 22(D) y - 4x-22(E) = 4x+18 Alya ha a 10. 2-gram bag of pretzel and a 21. 3-gram bag of nack mix. She put an equal amount of the combined pretzel and nack mix into each of the 3 large bowl. How much mix doe Alya put in each bowl? According to the CON article, which option BESTdescribes most people's approach to the debateover Columbus Day? A swimming pool can be filled at the rate of 25 liters per minute using a special pump. How many hours will it take to fill a pool that holds 5,000 liters of water? Round to the nearest hunredth. dont know how to do this either if u could feel free to help me Checkpoint 19 Listen Some motor oil is poured into a glass. Afterwards, a small mass of com syrup is slowly added. Com syrup denser than motor oil. What will happen? O Com syrup will form a layer below the motor oil because its mass is less. O Com syrup will form a layer above the motor oil because it is denser. o com syrup will form a layer above the motor oil because its mass immore O Corn syrup will form a layer below the motor oil because it is denser.. nonmandatory recommendations that the employee may use as a reference in complying with a policy are known as regulations. ____________ Research on videogame training in young adults shows that these games have the effect of improving:a) attentional control.b) color perception.c) long-term memory.d) mathematical skills. Unit testWhich relationships have the same constant of proportionality between y and x as the following table?20y4327568 64Choose 3 answers: In the context of the qualities of selection predictors, validity refers to: 6. The purpose of the sales invoice is to a. record reduction of inventory b. transfer goods from seller to shipper c. bill the customer d. select items from inventory for shipment