Earnings per share is not reported for discontinued operations. unusual gains/losses. income from continuing operations. changes in accounting principle.

Answers

Answer 1

Earnings per share are not reported for changes in accounting principles.

Earnings per share, a financial indicator of a company's success, shows how much of its profits are allotted to each outstanding share of common stock. Investors, analysts, and shareholders frequently use it to assess a business's financial performance as it offers insight into the earnings produced by the company on a per-share basis.

EPS is a crucial metric for comparing the profitability of various businesses operating in the same sector or evaluating an organization's performance over time. As it aids in calculating the price-earnings ratio and other financial ratios used in equity valuation, it is also a crucial element in valuation models and investment analysis.

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Related Questions

When setting prices of products, businesses want to make sure they can
cover their costs and make
A. a markup
B. an allowance
C. a discount
D. a profit

Answers

Answer:

When setting prices of products, businesses want to make sure they can cover their costs and make:

D. a profit

The setting prices of products, businesses want to make sure they can cover their costs and make a profit. Thus, option (d) is correct.

What is businesses?

The term “business” refers to earning a profit. The business is taking the risk and earning the profit. The business is mainly focused on the activities of the creation, distribution, and selling of concepts. The businesses are interested in the investment as a future perspective.

The business is the main motive for earning the profit. Businesses are increasing productivity as a result of rising profits. From the location to the facilities such as medical facilities, proper furniture, employee liberty of work, training, internet facilities, and furniture, etc., businesses are improving. The cost plus extra amount is called the profit.

As a result, in the setting prices of products, businesses want to make sure they can cover their costs and make a profit. Therefore, option (d) is correct.

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40 POINTS
How do you recommend the government change GDP and taxes to stabilize the economy in each of the following scenarios?

1, Economic growth has started slowing and the unemployment rate has increased over the past four months.
2, There has been strong growth in GDP over the past year, unemployment is very low, and inflation has started to rise.
3, Prices are stable, unemployment is low and the economy is growing at an average rate

Answers

To stabilize the economy in the given scenarios, the government should change GDP and taxes as follows:

Economic growth has started slowing and the unemployment rate has increased over the past four months. - Decrease taxes to increase GDP There has been strong growth in GDP over the past year, unemployment is very low, and inflation has started to rise. - Increase taxes to decrease GDP Prices are stable, unemployment is low and the economy is growing at an average rate - No change to taxes to maintain GDP growth

How can taxation affect the economy?

Taxation leads to less money being available to people to invest in the production of goods and services, and to consume. This means that more taxation means less economic and GDP growth.

If economic growth is slowing, reducing taxes would allow for an increase in economic growth. When inflation is starting to rise along with a strong growth in GDP, the economy might be overheated so there is a need to increase taxes so that GDP will fall. If the economy is stable however, taxes should be left as they are.

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When will the new Stranger Things season come out?

Answers

Possibly somewhere in early 2021. According to netflix.

Answer:

Around March 2021

Explanation:

A person who does not have capacity to contract may later contract.
A. accept
B. disaffirm
C. counteroffer
D. enforce​

Answers

Answer:

B.) Disaffirm

Explanation:

I just took it and got it correct

Answer:

B

Explanation: I just took it

productminus−cost crossminus−subsidization ________.

Answers

Product cost cross-subsidization is a term used to describe the practice of setting prices for products in a way that compensates for the costs incurred in producing other products.

In such cases, a company may set a higher price for a product with a lower production cost to help cover the costs of producing a product with a higher production cost. This can be done either by charging a premium price for the low-cost product or by discounting the high-cost product.

The purpose of product cost cross-subsidization is to ensure that the company can continue to offer a range of products, including those that are less profitable, without having to raise prices across the board. This can be important for maintaining customer loyalty and market share, especially in industries where there is intense competition.

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Internal Stakeholders → Exhibition that is open to the public, usually requiring an entrance fee.

True

False

Answers

Answer:

Explanation:

t



The Answer to this question is False

Congratulation! You just won $10 million in the lottery. But instead of squandering your newfound wealth on luxury goods and a life of ease, you've decided to stay in town and be a financial friend to your neighbors, who are hardworking but never seem to have enough money to fix up their homes or buy decent cars. The best way, you decide, is to start a bank that will make home and car loans at attractive rates. On the day that you open your doors, the reserve requirement set by the Federal Reserve System is 10 percent. What's the maximum amount of money you can lend to residents of the town? What if the Fed raises the reserve requirement to 12 percent? Then how much could you lend? In changing the reserve requirement from 10 percent to 12 percent, what's the Fed trying to do -- curb inflation or lessen the likelihood of recession? Explain how the Fed's action will contribute to this goal.

Answers

Answer:

Distinguish among different types of financial institutions.

Explanation:

Richard has recently finished college and is about to prepare for his exam to become a certified public accountant. He wants to talk to other accountants to learn how best to prepare for this exam. Which professional organization would be most helpful for him to join?

Answers

Answer:

The accountant federation

Marisa has gathered a pile of financial documents from the past year showing money she has taken in. She received money from alimony, child support, investment income, and unemployment compensation. She totals it all up to try to determine her gross income, but you know that she is making a mistake. What would you tell Marisa so she can correct her total?

Answers

Answer:Her salary from her job, alimony, and child support. All of these impact her income and can be included. The specific requirements vary by the type of lan and lender.

Explanation:

Marisa can correct her total by not including the child support amount in the calculation

What is income?

One can define income as the area where a person makes their money might be described as the come. This can take the shape of work that is performed in exchange for payment as well as income that can be obtained through investments that are being made.

Her job's pay, alimony, plus child support obligations. Each of these could be included and have an effect on her income. The particular standards change depending on the borrower.

She is taking all the right decisions but the amount of child support is not included when it comes to the gross income. She needs to remove that amount to calculate it then only the amount which will come will be accurate.

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what is 450x12 PLZ HELP ME I NEED HELP

Answers

Answer:

5400

quick and easy  thank u

Two towns, each with three members, are deciding whether to put on a fireworks display to celebrate the new year. fireworks cost $360. in each town, some people enjoy fireworks more than others. 1) in the town of longbeach, each of the residents values the public good as follows: jonny $50 sam $100 chanwoo $300 would fireworks pass a cost-benefit analysis? explain. 2) the mayor of longbeach proposes to decide by majority rule and, if the fireworks referendum passes, to split the cost equally among all residents. who would vote in favor, and who would vote against? would the vote yield the same answer as the cost-benefit analysis? 3) in the town of santamonica, each of the residents values the public good as follows: minseo $20 daeun $140 yewon $160 would fireworks pass a cost-benefit analysis? explain. 4) the mayor of santamonica also proposes to decide by majority rule and, if the fireworks referendum passes, to split the cost equally among all residents. who would vote in favor, and who would vote against? would the vote yield the same answer as the cost-benefit analysis? 5) what do you think these examples say about the optimal provision of public goods?

Answers

The fireworks would pass a cost-benefit analysis in longbeach because the total value derived from the fireworks is greater than the cost.

1) in the town of longbeach, the total value placed on the fireworks display by the residents is $450 ($50 + $100 + $300). since the cost of the fireworks is $360, the total value exceeds the cost. 2) if the mayor of longbeach proposes to decide by majority rule, the residents would vote individually based on their preferences. jonny, who values the fireworks at $50, would likely vote against, as his individual benefit does not exceed the cost. sam, who values the fireworks at $100, would likely vote in favor, as his individual benefit exceeds the cost. chanwoo, who values the fireworks at $300, would also likely vote in favor. since two residents would vote in favor and one against, the majority would support the fireworks display . fairness

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Over the last 100 years, marginal tax rates have been fluctuating constantly. Place the years in order by how high the top marginal rate was at the time. Place the year with the highest rate first.

Answers

1945* 1913" 2012" 1964 I think this is the right answer

wat is 6x6+63+90-331x5

Answers

The Answer is -1466.

Explanation:

Answer:

-1466

Explanation:

Give brainliest and I will do step by step!

Step by step-

6 X 6= 36

-331 X 5= -1655

63 + 90= 153

153 + 36= 189

-1655 + 189= -1466

according to the kaldor-hicks principle, when should a project or policy be implemented?

Answers

According to the Kaldor-Hicks principle, a project or policy should be implemented if the winners could compensate the losers and still be better off.

The Kaldor-Hicks principle is an economic theory that states that a project or policy should be implemented if the overall benefits to society outweigh the costs, and if those who benefit from the project or policy could compensate those who are negatively affected and still be better off. In other words, the gains to the winners must be larger than the losses to the losers, and the winners should be willing to compensate the losers in order to make the change happen. This principle is often used in cost-benefit analysis and is intended to ensure that projects and policies are implemented in a way that maximizes overall societal welfare.

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what is the law of demand and supply


Answers

Answer:The law of supply and demand is a theory that explains the interaction between the sellers of a resource and the buyers for that resource. The theory defines what effect the relationship between the availability of a particular product and the desire (or demand) for that product has on its price.

Explanation:

Careers in the Hospitality and Tourism career cluster are
O highly desirable and pay high wages.
O bountiful and expected to continue to grow.
O seldom desirable and pay low wages.
O limited and expected to continue to decline.

Answers

Answer:

B

Explanation:

Edge

Careers in the Hospitality and Tourism career cluster are bountiful and expected to continue to grow. Thus option B is correct.

What are Careers?

Career sectors are means of classifying various career kinds based on shared characteristics. People can use these criteria to help them focus their job options and select a suitable path.

A collection of occupations that emphasize giving people food, lodging, aid to travelers, and enjoyable activities. The abundance of jobs in the travel and hospitality career cluster is anticipated to persist.

The planning, management, and provision of lodging, dining, entertainment, conferences, and tourism, as well as related arranging and community programs including transport services, are all part of a the hospitality and tourism employment cluster. Therefore, option B is the correct option.

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A salesperson finds and analyzes information about each prospect's specific product needs, current use of and feeling about brands, and personal characteristics during
a) prospecting.
b) the approach.
c) presentation preparation.
d) overcoming objections.
e) the preapproach.

Answers

The process in which a salesperson finds and analyzes information about each prospect's specific product needs, current use of and feeling about brands, and personal characteristics during the pre-approach. Hence option E. is correct.

What are different stages of selling a product?

Prospecting: This is the initial stage of the selling process in which the salesperson identifies and seeks out potential customers who may have an interest in the product or service.

The approach: This is the stage in which the salesperson makes initial contact with the prospect. It can take many forms, including a phone call, an email, or an in-person meeting.

Presentation preparation: This is the stage in which the salesperson prepares the presentation for the prospect.

Overcoming objections: This is the stage in which the salesperson addresses any objections or concerns the prospect may have about the product or service.

Hence option E. the pre-approach is correct.

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Suppose General Electric payed its line workers $12 per hour

Answers

The relevant answers with regard to real wages are as follows:

A) $10.08

B) 10.89

C) 19.05. See explanation below.

What is the computation justifying the above results?

[A]

Recall that Real Wages are computed as follows;

Real Wages = (Nominal Wage/CPI in the Given Year) x CPI in the base year

12 = (N/84) x 100

= 10.08

[B]

The formula for real wage still stands:
Hence,

12 x 1.08 = (N/84) x 100

= 10.89

One thing to keep in mind is that the percentage rise in real wages is always equal to the percentage increase in nominal wages. The same may be demonstrated with other values.

[C]

It is to be noted that the real wage is pegged at $12 which is same from the prior year.

Hence, percentage increase = 0

But because $12 is Nominal in the incumbent year,

[(12 - 10.08)/10.08] x 100

= 92/10.08

= 19.05

What is real wages?

Real wages are earnings adjusted for inflation, or pay expressed in terms of the quantity of goods and services that may be purchased. In contrast to nominal wages or unadjusted wages, this word is used.

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Full Question:

Suppose General Electric paid its line workers $12 per hour in 2015 when the Consumer Price Index was 100. Suppose that deflation occurred and the aggregate price level fell to 84 in 2016. Instructions: Round your answers to two decimal places. a. GE needed to pay its workers $ in 2016 in order to keep the real wage fixed at $12. b. GE needed to pay its workers $ in 2016 if it wanted to increase the real wage by 8 percent. c. If GE kept the wage fixed at $12 per hour in 2016, in real terms, its workers got a % increase in wages.

In circumstances dealing with poverty, the term _________________________ means taking income from those with higher incomes and providing income to those with lower incomes. safety net estate tax minimum wage redistribution

Answers

In circumstances dealing with poverty, the term "redistribution" means taking income from those with higher incomes and providing income to those with lower incomes.

"redistribution" is the most appropriate term that describes the process of taking income from those with higher incomes and providing income to those with lower incomes.


1. Redistribution refers to the process of transferring wealth or income from one group of people to another, particularly from those with higher incomes to those with lower incomes.
2. It is often seen as a way to address economic inequality and poverty by ensuring that resources are distributed more equitably.
3. One example of redistribution is through the implementation of progressive tax systems. In these systems, individuals with higher incomes are taxed at higher rates, while individuals with lower incomes are taxed at lower rates or may even receive tax credits or deductions.
4. Another example of redistribution is the provision of government assistance programs, such as welfare or social security. These programs aim to provide financial support to individuals or families who have lower incomes, helping them meet their basic needs.
5. The goal of redistribution is to create a safety net for those who are economically disadvantaged, helping to reduce poverty and promote social and economic stability.

In the given circumstances, "redistribution" is the most appropriate term that describes the process of taking income from those with higher incomes and providing income to those with lower incomes. It emphasizes the idea of wealth or income being distributed more equitably to address poverty and economic inequality.



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Which of the following is NOT a useful strategy when making an informed purchase?

1.Compare your option to similar products.
2.Calculate the unit price of the product.
3.Read the online reviews of the product and ask trusted friends who use it.
4.Purchase a product based on a social media influencer.

Answers

The answer is 4, purchase a product based on a social media influencer.

this would not be an informed purchase

identify two example of how products might be promoted directly to customer using the internet​

Answers

Answer: ads while watching tv

Explanation:

Question 8 of 20
Which person is making the highest risk investment?
A. Daphne invests 50 percent of her portfolio in mutual funds
B. Norville invests 75 percent of his portfolio in stocks,
C. Velma puts half her money in a hedge fund and half in mutual
funds
D. Fred puts half his money in stocks and half in real estate
investments

Answers

The individual that makes the investment that has highest risk is Norville because he invested 75 percent of his portfolio in stocks.

What investment are considered high risk?

High risk investment refers to an investment that have large chance of loss of capital and high chance of a devastating loss.

Daphne invests in mutual funds which offeres low risk, Velma  and Fred spread their risk to reduce loss if any occur.

Therefore, the Option B is correct.

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Answer:

B

Explanation:

b

when would a firm most likely call bonds? a. after interest rates have declined b. if interest rates do not change c. after interest rates increase d. just before the time at which interest rates are expected to decline

Answers

A firm would most likely call bonds after interest rates have declined. When interest rates decline, it becomes more favorable for firms to refinance their existing debt at lower interest rates.

Calling bonds refers to the issuer's option to redeem bonds before their maturity date. This is typically done when it is financially advantageous for the firm. Calling bonds after interest rates have declined allows the firm to issue new bonds or borrow at lower interest rates, resulting in potential interest savings. By taking advantage of the lower interest rate environment, the firm can reduce its borrowing costs and improve its financial position. On the other hand, if interest rates do not change or increase, it may not be financially beneficial for the firm to call the bonds. In such cases, the firm would generally continue to honor the terms of the bond until its maturity date. While it is not impossible for a firm to call bonds just before the time when interest rates are expected to decline, it is more common for firms to call bonds after interest rates have already declined. This allows them to capture the benefits of lower interest rates and reduce their interest expenses.

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when a manufacturer saturates the market by selling to any intermediary of good financial standing that is willing to stock and sell the product, the manufacturer is engaged in select .

Answers

When a manufacturer saturates the market, the manufacturer is engaging in  intensive distribution.

Intensive distribution can be define as the way in which companies or manufacturer made available or distribute their products from retail outlet to wholesaler outlet.

Most companies use intensive distribution marketing strategy  to increase sales and to sell out the products in their warehouse so as to restock or restore new products.

Intensive distribution help to create product awareness to those people that are not aware of the products due to the fact that the products can be find everywhere.

Inconclusion  the manufacturer is engaging in  intensive distribution.

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Jake receives a portion of his income from his holdings of interest-bearing U.S. government bonds. The bonds offer a real interest rate of 4.5% per year. The nominal interest rate on the bonds adjusts automatically to account for the inflation rate.


Given the real interest rate of 4.5% per year, find the nominal interest rate on Sean's bonds, the after-tax nominal interest rate, and the after-tax real interest rate under each inflation scenario.


Inflation Rate Real Interest Rate Nominal Interest Rate After-Tax After-Tax

Nominal Interest Rate Real Interest Rate


(Percent) (Percent) (Percent) (Percent) (Percent)


2.0 4.5

8.5 4.5


Compared with lower inflation rates, a higher inflation rate will the after-tax real interest rate when the government taxes nominal interest income. This tends to saving, thereby the quantity of investment in the economy and the economy's long-run growth rate.

Answers

Answer:

First we find the nominal interest rate under the two scenarios. The formula is:

Nominal Interest Rate = Inflation Rate + Real Interest Rate

Nominal Interest Rate first scenario = 2.0 + 4.5

                                                           = 6.5

Nominal interest rate second scenario = 8.5 + 4.5

                                                                = 13

Now we find the after-tax nominal interest rate. The formula is:

After tax nominal interest rate = nominal interest rate x (1 - tax rate)

We will assume that the tax rate is 10%.

After tax nominal interest rate first scenario = 6.5 x (1 - 0.1)

                                                                         = 5.85

After tax nominal interest rate second scenario = 13 x (1 - 0.1)

                                                                               = 11.7

Finally, we find the after-tax real interst rate. The formula is:

The formula is the same as above, the only difference is that the real interest rates are used instead.

After tax real interest rate first scenario = 4.5 x (1 - 0.1)

                                                                  = 4.05

After tax real interest rate second scenario = 4.5 x (1 - 0.1)

                                                                        = 4.05

19. Which medium has the advantage of moving images, sound, and portability in business?
*
(1 Point)
Newspapers
Transit Media
Internet
Radio

Answers

Answer:

Internet

Explanation:

Newspapers can be online, but they are originally on paper, transit media is on billboards or the sides of cars, and the radio is definitely not it.

Explain how saving a portion of your money can help you achieve financial well-being. (Tell me how saving a little bit of your money can help you have less problems with money.)

Answers

Saving money means that you will have more in the future (if that’s just in your wallet or a savings acc that earns interest) it will also make you feel accomplished.

Determine the characteristic for each market segment. This segment contains a common element that unifies its members. This segment contains an element that separates it from other segments. This segment is based on the response of members with a certain outlook. distinction arrowRight homogeneity arrowRight reaction

Answers

Answer:

Market segmentation is a marketing term that refers to aggregating prospective buyers into groups or segments with common needs and who respond similarly to a marketing action. Market segmentation enables companies to target different categories of consumers who perceive the full value of certain products and services differently from one another.

KEY TAKEAWAYS

Market segmentation seeks to identify targeted groups of consumers to tailor products and branding in a way that is attractive to the group.

Markets can be segmented in several ways such as geographically, demographically, or behaviorally.

Market segmentation helps companies minimize risk by figuring out which products are the most likely to earn a share of a target market and the best ways to market and deliver those products to the market.

With risk minimized and clarity about the marketing and delivery of a product heightened, a company can then focus its resources on efforts likely to be the most profitable.

Explanation: I was Just taking a test on this

Answer:

Got this correct on the Test.

Explanation:

distinction--->this segment contains an element that separates it from other segments.

homogeneity--->this segment contains a common element that unifies its members.

reaction--->this segment is based on the response of members with a certain outlook.

Mark Simpson earns $980 biweekly as a security guard for Albany Med. His group medical insurance costs $7,000 a year. The company pays 90% of the cost of medical insurance. How much is deducted from Marks biweekly paycheck for medical coverage

Answers

Answer:

$26.923

Explanation:

Biweekly payment means payments every 14 days or 2 weeks. One year has 52 weeks. Mark is paid 26 times per year

if the company pays 90% of $7000, then Mark pays 10% of $7000

Mark pays = 10/100 x $7000

=0.1 x $7000

=$700

The amount of $700 is spread over 26 weeks.

Each paycheck, Mark will be deducted

=$700/26

=$26.923 per check

What are the steps needed to be taken by a company to implement
the balanced scorecard? (100 words)

Answers

Implementing the balanced scorecard involves several key steps. The first step is to define the company's strategy and objectives, which will be used to create the scorecard.

Next, the company should identify key performance indicators (KPIs) that are aligned with its strategy and objectives. These KPIs should be organized into the four categories of the balanced scorecard: financial, customer, internal processes, and learning and growth. Once the KPIs have been identified, the company should develop initiatives to improve performance in each category. Finally, the balanced scorecard should be communicated to all employees, and progress should be monitored and reviewed regularly to ensure that the company is on track to achieve its strategic goals.

To implement the Balanced Scorecard, a company should follow these steps: 1) Define strategic objectives and vision, ensuring they are aligned with overall business goals. 2) Identify key performance indicators (KPIs) to measure progress towards objectives. 3) Develop a strategy map to visualize cause-and-effect relationships between objectives and KPIs. 4) Establish targets and initiatives for each KPI to drive performance improvement. 5) Communicate the Balanced Scorecard to employees, promoting buy-in and understanding. 6) Regularly review and update the scorecard, using it as a management tool to monitor progress and adjust strategy as needed.

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Other Questions
Do you think it is fair for law enforcement officers to be able to stop and frisk citizens? Why or why not? The formula for the yield to maturity, i, on a discount bond isA) i = (Face value - Discount price)/Discount price.B) i = (Discount price - Face value)/Discount price.C) i = (Face value - Discount price)/Face value.D) i = (Discount price - Face value)/Face value. Which of the following statements best describes the development of England as a nation-state? (10 points)After William the Conqueror became king of England, he passed the Magna Carta, which created Parliament.When Parliament was established by the Romans, the idea of rule by legal precedent began in England. Over time, Parliament lost power and the king became the absolute power in England, which continues today.After William the Conqueror became king of England, he enacted the Doomsday Book and other legal precents that established that Parliament and the monarch would rule England as equal powers.As the need for protection gradually decreased, feudalism was replaced by monarchs who ruled by laws and legal precedent. Eventually, Parliament became more powerful than the monarch. 5. Consider the following LP problem: max 4x + 3x2, subject to 3x + x 9, 3x + 2x 10, x + x 4, where x and x are nonnegative. a) How many basic solutions does the standard form problem have? b) What are the basic feasible solutions and the extreme points of the feasible region? what does alternate form mean ObjectivesExplain the significance of motivation in influencing organizational behaviour.Employ needs and process theories to stimulate employee performance.BackgroundMotivational theories seek to explain how employers can garner the most productivity from their workforce. Businesses will try to assess their corporate cultures, and attempt to develop strategies for motivation that will be meaningful. The strategies used may vary from extrinsic (financial, compensation, etc.) to intrinsic (promotion of feelings of self-worth, etc.). As a member of the workforce, it is important for you to understand what motivates you. Help plss it's due today??...! Following the election of 1860, many in the South believedthat secession could still be avoided.that Lincoln would strongly protect states rights.that border states would not join a confederacy.that the institution of slavery was in jeopardy. What motivates Benvolio to utter this warning?his fear of being injuredhis desire to avoid a fighthis loyalty to the Capuletshis concern for Mercutio What is one of the most powerful tool of financial analysis? Which of the following was NOT a factor behind and almost fifty percent price increase in global food prices between 2007 and 2008?a. Expanding use of food crops for biofuelsb. Declining agribusiness sector in the United statesc. Population growthd. Increasing global demand for meate. Urban expansion into undeveloped areas you are driving on a back country road and hit a deer. what type of auto insurance must you have in order to get your car repaired? Help ASAP!5(x-4) + (2x-7) 3 Amy wants new skirting boards in her living room. The skirting boards willgo along the bottom of each wallnot go across the doorwaynot go across the fireplace. Amy has this sketch of her living room. DO NOT WRITE IN THIS AREADO NOT WRITE IN THIS AREA6. 5 m4. 5 mdoorway900 mmfireplace1. 2 mSkirting boards come in lengths of 2. 4mThe lengths of skirting board can be cut and joined. DO NOT WRITE IN THIS AREADO NOT WRITE IN THIS AREAHow many lengths of skirting board does Amy need?You must show your working. Write a division expression that is equivalent to the fraction 6/18 .the intent of hipaa is to promote large health care providers get faster service since their volume of claims is larger than small rural providers true or false 3.05 x 103 equals what Which 3 are benefits of using apps with QuickBooks Online? Evaluate this statement using the documents and your knowledge of the military and diplomatic history of the years through 1939 and 1947. find the value of x. round your answer to the nearest tenth.