When the economy is in a recession, the government will want to increase output. If the multiplier equals 2.9 and the government increases spending by 331, how much will output by 331, how much will output increase by?

Answers

Answer 1

Answer:

Usando el mapa esquemático, identifica las tres provincias geomórficas de

leyenda

Answer 2
Increasing at a rate of %.593

Related Questions

If you decide to take a break and go for a hike in order to focus less consciously on the creative process, which stage is the creative process are you experiencing?

Answers

Answer: Incubation

Explanation: In the incubation stage the person moves away from the problem and gives space to the mind to search for a solution. An example is going for a walk to relax your mind a bit and ideas flow better.

Which of the following was the first nation to prosper due to the use of power equipment vice (might be via) hand tools?
A. France
B. Great Britain
C. United States

Answers

Answer:

B). Great Britain

Explanation:

The first nation expanded due to the use of hand tools and power equipment was Great Britain. Its industries of handtools played a great role in flourishing the trade industries of Britain and gave a new significance to agricultural raw materials and craftsmen. The Great Britain's idea also gained from its rule of India as the Indian products suddenly raised demand in the market which compelled the state to bring a handmade craft revolution. Thus, option B is the correct answer.

a firm has a market value of equity of 30,000. it borrows 7500 at 8%. if the unlevered cost of equity is 16%, what is the firms cost of equity capital

Answers

Answer:

18%

Explanation:

Ke = Kul +[Kul+Kd] [D/E]

Unlevered cost of Equity(Kul)= 16%, Cost of Debt(kd) = 8%, Debt = $7500 & Equity = $30,000

ke= 0.16+(0.16-0.08)(7,500/30,000)

ke= 0.16+(0.08)(0.25)

ke= 0.16 + 0.02

ke= 0.18

Ke = 18%

Thus, the firms cost of equity capital is 18%

The business judgment rule protects corporate officers and directors when: _________

a. they have a financial self-interest in the disputed transaction.
b. they are unaware of some of the material aspects of a decision.
c. they set up a committee to establish a decision-making procedure that serves the best interests of the corporation.
d. the liability stemmed from a breach of duty.

Answers

The business judgment rule protects corporate officers and directors when option c. they set up a committee to establish a decision-making procedure.

What is the business judgment rule:

It is considered as the legal principle that protected the board of directors from breach of the liability of fiduciary duty since the directors should be acted in good faith of the shareholders and assure the logical and well-informed decision-making process

So based on this, we can say that the option c is correct.

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Equipment which cost $446,000 and had accumulated depreciation of $248,000 was sold for $222,000. This transaction should be shown on the statement of cash flows (indirect method) as a(n):_________

Answers

Answer and Explanation:

The computation is shown below:

For profit or loss  on the sale of an equipment

Cost  $446,000

Less: accumulate depreciation -$248,000

Book value $198,000

Less: sold value -$222,000

Loss on sale of an equipment -$24,000

This amount would be added to the net income

And, the sale value i.e. $222,000 should be shown in the investing activity in a positive amount

The International Monetary Fund​ (IMF): ___________.A. aids countries with balance of payment and exchange rate problems. B. in recent years has provided large loans to​ Russia, South​ Korea, and Brazil. C. was created as a result of the Bretton Woods Agreement. D. is all of the above.

Answers

Answer:

D. is all of the above.

Explanation:

The International Monetary Fund is a an international organisation that works to promote monetary cooperation between member countries, reduce poverty, and encourage economic growth around the world

It's member nations are 190 in number.

The IMF mainly aids countries with balance of payment and exchange rate problems.

Also IMF has helped Russia, South​ Korea, and Brazil by giving them loans in recent years.

The IMF was created as a result of Bretton Woods agreement.

After World war 2 in 1944 the central banks of allied nations agreed to fix the exchange rate of their currencies and the dollar. Members also agreed to not go into trade wars

You own a movie theater. The theater generates $100,000 per year in net income. This is expected to grow at 2% per year. Someone offers to buy the theater from you. How much should you charge as the selling price of the theater?

Answers

Answer: $1275000

Explanation:

From the question, we are informed that a theater generates $100,000 per year in net income and it is expected to grow at 2% per year.

The selling price of the theater if someone offers to buy will be:

= net income × (1+g) / (r-g)

= $100,000 × (1 + 2%) / (10% - 2%)

= $100,000 × (1.02) / (0.08)

= $1275000

The amount of money which the theater owner should charge as the selling price of the theater is:

$1275000

According to the given question, we are asked to calculate the selling price of a movie theater, when we factor in the net  income, expected growth, etc.

As a result of this, we can see that to make the necessary calculations, we have to take note of some important things such as:

Net income

Expected growth rate

The net income is $100, 000 per year

The expected growth rate is 2% per year

With this in mind, the owner can calculate the selling price as net income × (1+g) / (r-g) which would give us $100,000 x 91.02)/ (0.08)

= $1275000

Therefore, the correct answer is $1275000

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The business cycle measures: Group of answer choices fluctuations in the profit of businesses. fluctuations in the long-run trend growth rate of GDP. short-run fluctuations in economic activity. fluctuations in the average tax rate paid by businesses. fluctuations in consumption. g

Answers

Answer:

short-run fluctuations in economic activity.

Explanation:

The business cycle measures short-run fluctuations in economic activity.

The efficient frontier of risky assets is
A. the portion of the investment opportunity set that lies above the global minimum variance portfolio.
B. the portion of the investment opportunity set that represents the highest standard deviations.
C. the portion of the investment opportunity set that includes the portfolios with the lowest standard deviation.
D. the set of portfolios that have zero standard deviation

Answers

Answer:

A. the portion of the investment opportunity set that lies above the global minimum variance portfolio.

Explanation:

The Efficient frontier refers to the portfolios set that involves that expected return whose return is high at the level of minimum risk so the asset that contains the high risk profile that investment opportunity set portion should be above the variance portfolio i.e. minimum globally

Therefore the correct option is a.

Beatrice Company estimates that unit sales of its lawn chairs will be 8,000 in October; 8,700 in November; and 9,650 in December.

Required:
Compute Beatrice’s sales budget for the fourth quarter assuming each unit sells for $27.50.

Answers

Answer:

Following are the solution to this question:

Explanation:

                                             Oct              Nov                  Dec              4th Quarter

Unit of budget sales            [tex]7,200 \ \ \ \ \ \ \ \ \ \ \ \ 7,400 \ \ \ \ \ \ \ \ \ \ \ \ 7,100 \ \ \ \ \ \ \ \ \ \ \ \ 21,700[/tex]

 Cost for sale                       [tex]27.5 \ \ \ \ \ \ \ \ \ \ \ \ \ \ 27.5 \ \ \ \ \ \ \ \ \ \ \ \ \ \ 27.5\ \ \ \ \ \ \ \ \ \ \ \ \ \ 27.5[/tex]

[tex]\text{Complete selling Budgeted}[/tex]  [tex]\$ \ 198,000 \ \ \ \ \ \ \$ \ 203,500 \ \ \ \ \ \ \$\ 195,250 \ \ \ \ \ \ \$ \ 596,750[/tex]

The following trial balance was extracted from the books of Kalekeno, a sole trader, at 31st Dec2018:

Dr Cr

Stock DEC 31st 2017 23,680



Carriage outward 2,000



Carriage inwards 3,100

Returns 2050 3,220

Purchases and sales 118,740 186,000

Salaries and wages 38,620

Rent 3040

Insurance 780

Motor expenses 6,640

Office expenses 2160

Lighting and heating expenses 1,660

General expenses 3140

Premises 50,000

Motor vehicles 18,000

Fixtures and fittings 3,500

Debtors and creditors 38,960 17,310

Cash at bank 4820

Drawings 12,000

Capital 126,360

332,890 332,890

Additional information

i) Closing stock was valued at ksh 29,460 as at 30th June 2018

ii) Mr kalekeno took part of the stock amounting to ksh 3000 for personal use

iii) Salaries and wages amounting to ksh 8,000 were pre-paid and ksh 360 of motor expenses accrued

iv) Bad debts written off amounted to 860

v) Depreciation is to be provided for as follows:

 Premises at 20%

 Fixtures and fittings at 15%

 Motor vehicles at 25%

All of a above asset were depreciated at cost

a) The income statement for the year ended 30 th June 2018 ( 5marks)

b) The statement of financial position (5 Marks)​

Answers

Answer:

Stock DEC 31st 2017 23,680

Carriage outward 2,000

Carriage inwards 3,100

Returns 2050 3,220

Purchases and sales 118,740 186,000

Salaries and wages 38,620

Rent 3040

Insurance 780

Motor expenses 6,640

Office expenses 2160

Lighting and heating expenses 1,660

General expenses 3140

Premises 50,000

Motor vehicles 18,000

Fixtures and fittings 3,500

Debtors and creditors 38,960 17,310

Cash at bank 4820

Drawings 12,000

Capital 126,360

332,890 332,890

Additional information

i) Closing stock was valued at ksh 29,460 as at 30th June 2018

ii) Mr kalekeno took part of the stock amounting to ksh 3000 for personal use

iii) Salaries and wages amounting to ksh 8,000 were pre-paid and ksh 360 of motor expenses accrued

iv) Bad debts written off amounted to 860

v) Depreciation is to be provided for as follows:

 Premises at 20%

 Fixtures and fittings at 15%

 Motor vehicles at 25%

All of a above asset were depreciated at cost

a) The income statement for the year ended 30 th June 2018 ( 5marks)

b) The statement of financial position (5 Marks)​

Explanation:

Average Accounting Return. Concerning AAR:a. Describe how the average accounting return is usually calculated and describe the information this measure provides about a sequence of cash flows. What is the AAR criterion decision rule?b. What are the problems associated with using the AAR as a means of evaluating a project’s cash flows? What underlying feature of AAR is most troubling to you from a financial perspective? Does the AAR have any redeeming qualities?

Answers

Answer:

a. Describe how the average accounting return is usually calculated and describe the information this measure provides about a sequence of cash flows. What is the AAR criterion decision rule?

Average accounting return = average net income / average investment

The problem with AAR is that net cash flows are not equal to net income since depreciation expense and changes in net working capital are not accounted for by AAR.

The criterion decision rule is that projects with an AAR above a certain measure.

b. What are the problems associated with using the AAR as a means of evaluating a project’s cash flows? What underlying feature of AAR is most troubling to you from a financial perspective? Does the AAR have any redeeming qualities?

it doesn't consider net cash flows, nor time value of money. Personally, accounting is an extremely important tool but it only reflects a partial perspective of a business. E.g. a business might have a huge net income but if it doesn't have enough cash to function, it will go bankrupt. In finance, cash is king.

Personally, my biggest problem with AAR is that it doesn't consider net cash flows. I've been on situations where the company I worked for was apparently doing great, but our accounts receivables were huge and we couldn't collect money fast enough. My job was basically go to different banks and convince them of loaning us cash. The worst part was that even without being able to collect cash, we still had to pay taxes and that was another huge problem.

I believe that AAR is still used because of its simplicity. Also, taxes are paid based on accounting profits and many firms base they compensation plans on them.

According to the basic DCF stock valuation model, the value an investor should assign to a share of stock is dependent on the length of time he or she plans to hold the stock.A. True B. False

Answers

Answer:

According to the basic DCF stock valuation model, the value an investor should assign to a share of stock is dependent on the length of time he or she plans to hold the stock.

A. True

Explanation:

The DCF (Discounted Cash Flow) method of stock valuation is based on the assumption of the time-value of money.  This approach considers that the cash flow that is received today is much more than the same amount of cash flow received any other time in the future.  And the time of the future receipt or payment affects the amount of the cash flow, with decreasing consequences based on increasing time into the future.

The manager of the customer service department told one of her subordinates that, unless he agrees to see her outside of the office, she will block his promotion. The manager is guilty of:______

Answers

Answer:

Extortion

Explanation:

Time is money.

Joe just completed his engineering degree and started to work for an engineering firm. Joe wants to retire early after 30 years working. He plans to invest $5,000 at the end of every year for a 30-year career. If Joe needs $3,954,750 in savings at retirement, what interest rate must the investment earn?A. 10%B. 12.16%C. 18%D. 20%

Answers

Answer:

Joe will need to save at an interest rate of:

C. 18%

Explanation:

a) Data and Calculations:

Working life = 30 years

Annual investment = $5,000

Future expected savings = $3,954,750

Joe will need an annual return rate of 18.000% to reach the future value of $3,954,750.00.

FV (Future Value) $3,954,752.25

PV (Present Value) $27,584.01

N (Number of Periods) 30.000

I/Y (Interest Rate) 18.000%

PMT (Periodic Payment) $5,000.00

Starting Investment $0.00

Total Principal $150,000.00

Total Interest $3,804,752.25

At the beginning of its fiscal year, Lakeside Inc. leased office space to LTT Corporation under a ten-year operating lease agreement. The contract calls for quarterly rent payments of $28,000 each. The office building was acquired by Lakeside at a cost of $2.3 million and was expected to have a useful life of 25 years with no residual value.

What will be the effect of the lease on Lakeside's earnings for the first year (ignore taxes)?

Lakeside increases its earnings by $__________

Answers

Answer: $20,000

Explanation:

The effect of the lease on Lakeside's earnings will be the difference between the earnings from the lease and the cost of the building which will be depreciation.

Depreciation = 2,300,000/25

= $92,000 per year

Earnings per year;

= 28,000 * 4

= $112,000

Increase in earnings = 112,000 - 92,000

= $20,000

A delivery tactic for outsourced projects is known as ______, ______, _______, and ________. Multiple Choice build, own, operate, transfer buy, test, retest, accommodate customer unit test, regression test, system test, customer test, transfer create, deliver, receive feedback, redeliver create, deliver, customer test, get paid

Answers

Explanation:

A delivery tactic for outsourced projects is known as and (A) build, own, operate, transfer B) buy, test, retest, accommodate customer C unit test, regression test, system test, customer test, transfer create, deliver, receive feedback, redeliver E) create, deliver, customer test, get paid

Marigold Corp. gathered the following reconciling information in preparing its April bank reconciliation: Cash balance per books, 4/30 $13700 Deposits in transit 1900 Notes receivable and interest collected by bank 4620 Bank charge for check printing 160 Outstanding checks 9400 NSF check 870 The adjusted cash balance per books on April 30 is:______.

Answers

Answer:

Marigold Corp. gathered the following reconciling information in preparing its April bank reconciliation: Cash balance per books, 4/30 $13700 Deposits in transit 1900 Notes receivable and interest collected by bank 4620 Bank charge for check printing 160 Outstanding checks 9400 NSF check 870.

The adjusted cash balance per books on April 30 is:__$17,290.

Explanation:

a) Data and Calculations:

Cash balance per books, 4/30 = $13,700

Deposits in transit 1,900

Notes receivable and interest collected by bank 4,620

Bank charge for check printing 160

Outstanding checks 9,400

NSF check 870

b) Cash balance per books, 4/30                           $13,700

Notes receivable and interest collected by bank     4,620

Bank charge for check printing                                    -160

NSF check                                                                     -870

Adjusted cash balance as per books on April 30 $17,290

c) The adjusted cash balance of $17,290 will be equal to the balance on the bank statement on the same date, unless there is another accounting error that is not listed above.

Considering the needs of a global audience is essential to success in the hospitality and tourism industry?

Answers

Answer:

True

Explanation:

In simple words, the hospitality and tourism industry refers to the activities related to accommodation, restaurant and tourism etc. In such industries the main focus of the companies is the comfort and joy of their clients. This becomes difficult to implement as every individual have different needs and circumstances. Thus, the planning of activities should be made in such a way that it suited the global audience.

Gabriella, a single taxpayer, has wage income of $160,000. In addition, she has $7,000 in long-term capital losses, $1,000 in long-term capital gains, $3,000 in short-term capital gains, and $1,000 in short-term losses. What is Gabriella's AGI for 2017?a. $157,000.
b. $160,000.
c. $156,000.
d. $161,000.

Answers

Answer:

c. $156,000

Explanation:

Adjusted gross income = Wage income + Long-term capital gains + Short-term capital gains - Long-term capital losses - Short-term losses

Adjusted gross income = $160,000 + $1,000 + $3,000 - $7,000 - $1,000

Adjusted gross income = $156,000

Thus, Gabriella's AGI for 2017 is $156,000

A firm has a machine it can sell for $40,000. The book value of the machine is currently $20,000. If the firm sells the machine, what are the net proceeds from the sale? Assume that the tax rate is 40%. Round to the nearest penny.

Answers

Answer:

the net proceeds from the sale is $32,000

Explanation:

The computation of the net proceeds from the sale is shown below:

Net Proceeds = Sale Price - Tax × (Sale price - purchase price)

=  $40,000 - 40% × ($40,000  - $20,000)

= $40,000 - $8,000

= $32,000

Hence, the net proceeds from the sale is $32,000

We simply applied the above formula so that the correct value could come

And, the same is to be considered

OCF from Several Approaches [L01] A proposed new project has projected sales of $125,000, costs of $59,000, and depreciation of $12,800. The tax rate is 35 percent. Calculate operating cash flow using the four different approaches described in the chapter and verify that the answer is the same in each case.

Answers

Answer:

Please see below

Explanation:

In order to calculate the operating cash flow, we will get the value of net income. The income statement is calculated as;

Sales

$125,000

Less :

Costs

($59,000)

Depreciation

($12,800)

EBIT

$53,200

Less tax 35%

($18,620)

Net income

$34,580

1. Using the tax shield method

OCF = (Sales - Costs)(1 - Tax) + Tax(Depreciation)

OCF = ($125,000 - $59,000)(1 - 35%) + 35%($12,800)

OCF = ($66,000)(0.65) + $4,480

OCF = $42,900 + $4,480

OCF = 47,380

2. Using the financial calculation

OCF = EBIT + Depreciation - Taxes

OCF = $53,200 + $12,800 - $18,620

OCF = $47,380

3. Using the top down approach

OCF = Sales - Costs - Taxes

OCF = $125,000 - $59,000 - $18,620

OCF = $47,380

4. Using the bottom up approach

OCF = Net income + Depreciation

OCF = $34,580 + $12,800

OCF = $47,380

Given the following information for Smith Company's Northern Division, what is the division's EBITDA margin?

Revenue $44,140
Operating income 18,112
Depreciation 5,000
Amortization 1,422
Tax rate 20%

a. $37,718
b. $13,112
c. $24,534
d. $19,627

Answers

Answer:

EBITDA margin is 55.58%

Explanation:

EBITDA margin is computed as;

= EBITDA / Total revenue

Where,

EBITDA = Earnings before interest and taxes + depreciation + amortization

EBITDA margin = ($18,112 + $5,000 + $1,422) / $44,140

EBITDA margin = $24,534 / $44,140

EBITDA margin = 55.58%

A company expects to sell 15,000 units in the first quarter, 18,000 units in the second quarter, and 20,000 units in the third quarter. The company desires to maintain an inventory at the end of each quarter equal to 10% of next quarter expected sales. How many units does the company plan to produce in the second quarter?

Answers

Answer:

the number of units produced in the second quarter is 18,200 units

Explanation:

The computation of the number of units that have to plan for producing in the second quarter is shown below:

= Sales units - opening inventory units + closing inventory units

= 18,000 units - (18,000 units × 10%) + (20,000 units × 10%)

= 18,000 units - 1,800 units + 2,000 units

= 18,200 units

hence, the number of units produced in the second quarter is 18,200 units

Match the word to the correct definition. 1. alignment the horizontal placement of text on the page 2. shortcut a special combination of keys that tells the computer to perform a command 3. columns using your mouse to drag across text; this causes the text and background to change color and become selected 4. highlight vertical sections of text separated by blank space

Answers

Answer:

1432 is the order

Explanation:

hope this helps

Answer:  1432 is the order.

Hope this helps you! :^}

PERSONAL FINANCE

Use what you have learned about secured and unsecured loans to complete these sentences.
A loan that is associated with a valuable asset that can be taken by the lender is
________. (a secure loan, an unsecured loan)
Ray needs to get a new set of tires for her car, so she uses her credit card. If she does not pay her bills, there is no asset that can be seized. This means her loan is
_______.(a secure loan, an unsecured loan)
Jack agrees to take out a mortgage. If he fails to make his payments, the bank may repossess his house, so his loan is
________.(a secure loan, an unsecured loan)

Answers

Answer:

1.is a secured loan

the second one is an unsecured loan

and the third is a secured loan

The correct words to complete the given sentences would be as follows:

- Secured

- Unsecured loan

- Secured loan

A loan is considered to be secure when the loan requires something like(assets, property, or jewelry) as the support to grant you the amount. While a loan that is not secured do not ask for any kind of security or collateral on the behalf of the loan amount that is paid to you. In the given situation, the first and third case requires security(asset and mortgage) for passing the loan while the second doesn't.Thus, the first and third demonstrate secured loans while the second one exemplifies an unsecured loan.

Learn more about "Finance" here:

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An import restriction (tariff or quota) creates a net loss in welfare for the importing nation because:___________
a. Domestic production rises in the importing country
b. Income is transferred from consumers in the importing nation to domestic producers
c. Income is transferred from consumers in the importing nation to their government
d. All of the above
e. None of the above

Answers

Answer:

Explanation:

An import restriction as the term implies is done to limit the amount of a certain good that is imported into the country. Usually this is done to protect the domestic producers of the good in question who are not be as efficient as the country being imported from and so charge higher prices.

The people in the economy will experience a net loss in welfare because they will now be paying higher prices and as well will be transferring some of their income to their government because import restrictions like tariffs will see their costs passed on to the consumer.

Draw a correctly labeled loanable funds graph that shows what happens to real interest rates for each of the following situations: (You will have 3 graphs)
The government borrows money to fund a war.
Private investors become more optimistic about the economy.
The government raises personal income taxes (do not consider the change in consumer saving).
In the text box provided, enter the time and date you sent your graphs to your instructor. Please specify if you e-mailed or faxed the graph. Make sure your name and the assignment number are on your paper and that each graph is clearly marked with an a, b, or c. (30 points)

Answers

Answer:

1. a) War increases demand for loanable funds, demand curve shifts RIGHT. (Increase in real interest rate)

b) Private investors are optimistic about the economy (i.e. investment opportunities). Demand for loanable funds increases, demand curve shifts RIGHT. (Increase in real interest rate)

c) Tax increase means a decrease in the supply about loanable funds. Supply curve shifts LEFT. (Increase in real interest rate)

2. would most likely increase the supply of loanable funds. If Americans are saving more, then they are spending less money and investing more of it. Remember--saving does not mean "not using it". It means investing it instead of consuming.

3. The interest rate will fall. There is a surplus of loanable funds and the real interest rate will reflect this surplus by falling.

4. decrease in the demand for loanable funds. When output decreases, the return on investment for new projects decreases and investors are less in need of money to fund their ventures.

5. decrease the supply for loanable funds. If they are consuming more, they are saving less.

6. Increase / Decrease. When interest rates increase, growth is reduced because funding economic ventures is now more costly. Sometimes the fed will increase interest rates when it anticipates inflation to increase in order to mitigate economic growth.

Hope this was helpful!

Explanation:

What restriction did the US government place on advertising in 1997?
O
A.
a ban on tobacco advertising
B.
a ban on direct mail advertising
OC.
a ban on advertisements related to food, cosmetics, and healthcare products
D.
a ban on deceptive advertisements
O E.
a ban on internet advertisements

Answers

Answer:

The answer should be D, a ban of deceptive advertisements.

Explanation:

In the 90s the government cracked down on deceptive advertising more than ever and more laws on the matter were added. The only other option that was actually ever banned was A, none of the other choices were ever banned. The ban on tobacco happened in the 70s under Nixon, that makes D the only possible answer. Hope this helps! :)

Answer:

D

Explanation:

The Tobacco Master Settlement Agreement reached in 1997 bans outdoor, billboard and public transportation advertising of cigarettes in 46 states. Restrictions on cigarette were further tightened in 2010 with passage of the Family Smoking Prevention and Tobacco Control Act.

how is the aggregate supply curve for the economy related to the supply curves of individual producers?​

Answers

Answer:

The aggregate supply curve depicts the quantity of real GDP that is supplied by the economy at different price levels. Increases in the price level will increase the price that producers can get for their products and thus induce more output. ...

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Sergio has not made a definite decision yet, but has talked to a lot of people searching for a good idea for a new business. If he can come up with an idea he likes, he might just quit his current job and use his inheritance to go into business for himself!Sergio's frustration with his lack of freedom and flexibility at work indicates that Bigbux: a. prefers the use of cross-functional teams rather than individual initiative. b. has not adopted a strategy of empowerment. c. knows that the best way to ensure good customer service is to closely monitor its lower-level employees. d. is trying to please customers as well as other stakeholders. why Constantinople was an easy target for Mehmed II. Angles A and B are complementary. Angle A measures 3x + 10degrees and angle B measures 2x + 20 degrees. What is the value ofx? GIVING BRAINLIST SO PLZ HELP ME IM CRYING BECAUSE I CANT DO ITPart A. Write a 4 line/4 stanza poem about your favorite video game or movie that includes repetition, rhyme, alliteration and a shift.Part B. Explain how the shift in your poem impacts the meaning of the poem. What is it called when magma pushes into cracks in rock formations and causes them to widen? Point O is the incenter of ABC.Point O is the incenter of triangle A B C. Lines are drawn from the point of the triangle to point O. Lines are drawn from point O to the sides of the triangle to form right angles and line segments O Q, O R, and O S. Angle Q A O is (2 x + 6) degrees, angle O A S is (4 x minus 12 degrees), and angle Q B O is (3 x minus 15) degrees.What is m Angle Q B O?591224 I WILL GIVE BRAINLIEST _____ is defined as the process a company employs to externally search for and source research, new technologies, and products. Margaret packs colored cubes into shipping boxes. She has a function b(x)=x+2 that gives the edge length of the box, in centimeters, given the edge length x of the cube.What is the volume, in cubic centimeters, of a shipping box for a colored puzzle cube with an edge length x of 8 centimeters, where V=x3?a. 216b. 512c. 640d. 1000 HELP????!?!?!??!? {PLEASEEEEEEEE Any application that wants to be displayed on the web must use the HTTP protocol TrueFalse Use the following bond quotation:IssuerSymbolCallableCouponMaturityRatingPriceYieldWalmartWMT.IMNo4.8757/8/2040Aa2111.444.06What is the yield to maturity? Enter your answer as a decimal.If the bond has a face value of $1,000, how much does it currently cost (in $, and ignoring accrued interest)? Which states of matter are present in this sealed container?A. solid and gasB. liquid and gasC. solid and liquidD. solid, liquid, and gas this technology identifies a potential collision and then warns the driver of the situation Help me plzzzzz zzzzzz The pastry will be perfect if the recipe is followed 100% . Which verb mood is found in this sentence?A. Indicative MoodB. Conditional MoodC. Interrogative MoodD. Imperative Mood E. Subjunctive Mood In every price negotiation, there is (select one):A. a ZOPA.B. a BATNA.C. a reservation price.D. all of the above.E. two of the above.F. none of the above. Sammy: For my arthritis, I am going to try my aunt's diet: large amounts of wheat germ and garlic. She was able to move more easily right after she started that diet.Pat: When my brother began that diet, his arthritis got worse. But he has been doing much better since he stopped eating vegetables in the nightshade family, such as tomatoes and peppers.Which of the following, if true, would provide a basis for explaining the fact that Sammy's aunt and Pat's brother had contrasting experiences with the same diet?A. A change in diet, regardless of the nature of the change, frequently brings temporary relief from arthritis symptoms.B. The compounds in garlic that can lessen the symptoms of arthritis are also present in tomatoes and peppers.C. Arthritis is a chronic condition whose symptoms improve and worsen from time to time without regard to diet.D. In general, men are more likely to have their arthritis symptoms alleviated by avoiding vegetables in the nightshade family than are women.E. People who are closely related are more likely to experience the same result from adopting a particular diet than are people who are unrelated. hey, this is homework that is due today feel free to help thank you have a gd day