Sustainability and ERP (Enterprise resource planning) systems are helping companies track their energy consumption. SAP and Walmart are not only teaming up for the implementation of the retail giant’s financial software, but they are also promoting a unified front on sustainability—focusing on reducing pollution while increasing profits—through the use of ERP software. Many SAP customers have cut energy usage; for example, 7-Eleven reduced its cooling energy usage by 12 percent, Dannon cut its fuel costs by 22 percent with better management of its transportation system, all through the use of enhanced information from their ERP system. Companies can use the software to track and report on their energy consumption; however, in order to make changes, a company must determine the baseline of its energy consumption. For instance, Walmart was surprised to find that only 8 percent of its carbon footprint was under the direct control of the company, the remaining 92 percent was in the company’s supply chain. Since 85 percent of Walmart’s suppliers run SAP, Walmart saw an opportunity to encourage energy savings on the part of the companies that supply the Walmart stores. SAP sustainability software application allows Walmart and its suppliers to track their energy usage, emissions, and consumption of other natural resources.

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Answer 1

Answer:

SCM by kashif shafiq? :D

Explanation:


Related Questions

Your job pays you only once a year for all the work you did over the previous 12 months. Today, December 31, you just received your salary of $65,000 and you plan to spend all of it. However, you want to start saving for retirement beginning next year. You have decided that one year from today you will begin depositing 9 percent of your annual salary in an account that will earn 10.5 percent per year. Your salary will increase at 2 percent per year throughout your career. How much money will you have on the date of your retirement 35 years from today?

Answers

Answer:

$2,171,762

Explanation:

since there is not enough room here I used an excel spreadsheet

What are the three primary sources of assets?The three primary sources of assets are(1) investments by owners (issue of stock),(2) borrowing from creditors, and(3) earnings activities.

Answers

Answer:

True

Explanation:

The three main sources of assets for a business are:

investments by owners (total paid in capital), refers to the money that the owners are willing to invest in the company and it should be used to finance operating activities. borrowing from creditors, refers to both long term and short liabilities that allow the company to increase their assets, e.g. merchandise or equipment purchased on credit, or a loan. earnings activities, refers to the company's retained earnings from previous years that is reinvested in new or existing projects.

is your place of work a business or a non profit organization ?

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Answer:

my place of work is a business

"For the past 5 years, an individual earning $40,000 per year, who was not covered by another retirement plan, has made annual contributions to an Individual Retirement Account. That individual has changed jobs at the same salary and has been included in that company's qualified retirement plan. Which statement is TRUE?"

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The available options are:

A. Annual contributions to the Individual Retirement Account must cease

B. Annual contributions to the Individual Retirement Account can continue and are an adjustment to income each year

C. Annual contributions to the Individual Retirement Account can continue but no adjustment to income is allowed

D. The employee has 60 days to roll over the funds from the IRA to the qualified plan in order to maintain tax deferred status

Answer:

Annual contributions to the Individual Retirement Account can continue and are an adjustment to income each year

Explanation:

Given that, the individual involved makes $40,000 per year, therefore, the IRA contribution is tax deductible. This is because, the phase out range in 2020 for singles, where the contribution is not tax deductible is an income of above $75,000 per year, which is exactly between $65,000 - $75,000.

Hence, in this case, the correct answer is option B. Annual contributions to the Individual Retirement Account can continue and are an adjustment to income each year

In a _____ organizational structure, project managers work full-time on projects, while team members report to both functional managers and project managers​

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Answer:

Strong matrix

Explanation:

Which best describes the purpose served by economic models within an economic system? Models identify patterns. Models determine the business cycle. Models control change. Models define global demand.

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Answer:

Models identify patterns

I took it and I got it right

The purpose served by economic models within an economic system is that Models identify patterns.

What is economic model?

An economic model can be regarded as simplified description of reality, which is been designed to yield hypotheses as regards economic behavior.

It identify patterns and it is necessarily subjective in design .

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1. Sid bought a new $1,500,000 seven-year class asset on August 2, 2020. On December 2, 2020, he purchased $900,000 of used five-year class assets. If Sid elects Sec. 179 and does not take additional first-year depreciation, what is the maximum cost recovery deduction for these purchases for 2020

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Answer:

Total cost recovery deduction = 1251450

Explanation:

Given the seven-year class asset bought by the Sid = $1500000

On 2nd December the five-year class asset bought = $900000

Now we have to find the cost recovery deduction for 2020.

900000/(900000 + 1500000) = 37.5% Thus, use half-year convention and avoid mid quarter

1500000 – 1,000,000 (Sec 179 limit) = 500000

500000 x 14.29% = 71450

900,000 x 20% = 180,000

1,000,000 + 71450 + 180,000

Cost recovery for 7 year asset = 1,071450

Cost recovery 5  year asset = 180000

Total cost recovery deduction = 1251450

A partial listing of costs incurred at Gilhooly Corporation during September appears below: Direct materials $ 162,000 Utilities, factory $ 11,000 Administrative salaries $ 104,000 Indirect labor $ 30,000 Sales commissions $ 59,000 Depreciation of production equipment $ 51,000 Depreciation of administrative equipment $ 35,000 Direct labor $ 119,000 Advertising $ 66,000 The total of the manufacturing overhead costs listed above for September is:

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Answer:

Manufacturing overhead=  $96,000

Explanation:

Giving the following information:

Utilities, factory $ 11,000

Indirect labor $ 30,000

Depreciation of production equipment $ 51,000

The manufacturing overhead includes all indirect costs regarding production.

Manufacturing overhead= 11,000 + 30,000 + 51,000

Manufacturing overhead=  $96,000

A painting operation is performed by a production worker at a labor cost of $1.40 per unit. A robot spray-painting machine, costing $15,000, would reduce the labor cost to $.20 per unit. If the device would be valueless at the end of 3 years, what is the minimum number of units that would have to have been painted each year to justify the purchase of the robot machine

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Answer:

4,166.66 units per year

Explanation:

Break-even is defined as the production volume at which the cost incurred in the production process is equal to the revenue earned.

Production above this point will result in positive revenue for the company.

The formula for break-even is

Break-even= Fixed cost ÷ (Difference in cost of labour per unit)

Difference in labour cost is the gain from this process. When it involves sales the denominator is Sales price less variable cost.

Break-even = 15,000 ÷ (1.4 - 0.2)

Break-even = 12,500 units

Production will have to exceed 12,500 units to justify purchase of the robot for 3 years.

Units produced per year will be

12,500 ÷ 3 = 4,166.66 units per year

The W-4 tax form is used to ___________.

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Answer:

Employees fill out a W-4 form to let employers know how much tax to withhold from their paycheck based on filing status, dependents, anticipated tax credits and deductions, etc. If you don't fill it out correctly, you may end up owing taxes when you file your return.

Explanation:

The form of W-4 tax is used to report to the employers about how much amount he/ she has to retained from his/her remuneration or paycheck.

What is a tax return?

A tax return is a document being filed by all the taxpayers to the tax authorities on yearly basis. They have to specify all the details of their incomes earned in a year in that form.

W-4 tax form is one of the being submitted by the employee stating all the details of their incomes, applicable exemptions, credits, etc. to the employer. This should be done to inform the employer about what amount he/she has to withheld from their final monthly paycheck. In case the employee fails to file the form on time, then he/she has to give more taxes.

Therefore, the W-4 tax form is actually the withholding certificate filed by the employee to the employer.

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What is the capacity of the machine in batches unfinished batch?

Answers

Complete Question:

You are considering the purchase of a new machine to help produce a new product line being introduced.  The machine is expected to have a setup time of 10 minutes per batch and a processing time of 2 minutes per part.  You plan to have batch sizes of 50 parts.  The plant operates 8 hours per day.

What is the capacity of the machine in batches per day?

Answer:

The capacity of the machine in batches = 4 batches per day.

Explanation:

a) Data and Calculations:

Set up time per batch = 10 minutes

Processing time per part = 2 minutes

Batch sizes = 50 parts

Plant operation = 8 hours per day

b) Capacity in batches per day:

Total batch time = 10 + 50 * 2 = 110 minutes

Total minutes of operation  per day = 8 * 60 = 480 minutes

Capacity in batches = 480/110 = 4.36 or approximately 4 batches

c) Each batch produces 50 parts with each part taking some 2 minutes and an additional batch setup time of 10 minutes, giving a total of 110 minutes per batch.  Since there are some 480 (8 * 60) minutes available per day, it means that the entity can only run about 4 batches (480/110) per day.  These 4 batches will consume a total of 440 minutes (110 x 4), leaving some 40 minutes as unutilized time.

If the price of chicken feed decreases, the supply of chicken nuggets will shift

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Answer:The production of chicken nuggets should increase because more feed will be bought which means the chickens could eat more, this will lead to bigger chickens with more fat, which increases the chicken nugget production because, chicken nuggets are 50% meat and the rest is fat, ground bone, blood vessels and connective tissues.

Explanation:

~ItsOniiSama ❤

Hope this helps

A company rents office space for $10,000. The company hasn’t yet recorded payment as an expense in the financial statements because it hasn’t started using the premises.

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what is the question?

The agency problem exists primarily in companies of which:__________.
a. ownership is widely dispersed
b. common stock is closely held
c. management has stock ownership
d. both a & c

Answers

Answer: a. ownership is widely dispersed

Explanation:

When ownership of a company is widely dispersed, it means that there are few major holders of stock and no majority shareholder.

This can lead to more instances of the Agency problem ( managers acting for their own welfare instead of that of the shareholders) as there will be fewer people able to call the managers to book unilaterally. The managers will therefore feel more empowered to do as they please.

You can buy property today for $3 million and sell it in 5 years for $4 million. (You earn no rental income on the property.) (LO5-2) a. If the interest rate is 8%, what is the present value of the sales price? b. Is the property investment attractive to you? c. Would your answer to part (b) change if you also could earn $200,000 per-year rent on the property? The rent is paid at the end of each year.

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Answer:

a) Present Value of sales = $2,722,332.78

b) Property is not attractive. NPV$ (277,667.21)

c) Property is attractive. NPV-$520,874.79

Explanation:

The present value of the property

PV = S×  (1+r)^(-n)

S- Sales value

r- interest rate -8%

n- number of years

PV - present value

PV = 4,000,000× 1.08^(-5) = $2,722,332.78

b.  Is the property investment attractive to you?

We calculated the PV of the investment as follows

NPV = PV of sales value - initial cost

= 2,722,332.78 - 3,000,000=$ (277,667.21)

The property investment is not attractive because it will produce a loss in capital i.e negative NPV

C

To determine we will calculate the NPV again with considering the additional rental income

PV of annual rent = 200,000 ×  (1-1.08^(-5))/0.08= 798,542.00

NPV = 798,542.00  + 277,667.2119  - 3,000,000 =520,874.79

The property is attractive as it produces positive NPV

Exercise 2-6 Analyzing account entries and balances LO A1 Use the information in each of the following separate cases to calculate the unknown amount. Corentine Co. had $152,000 of accounts payable on September 30 and $132,500 on October 31. Total purchases on account during October were $281,000. Determine how much cash was paid on accounts payable during October. On September 30, Valerian Co. had a $102,500 balance in Accounts Receivable. During October, the company collected $102,890 from its credit customers. The October 31 balance in Accounts Receivable was $89,000. Determine the amount of sales on account that occurred in October. During October, Alameda Company had $102,500 of cash receipts and $103,150 of cash disbursements. The October 31 Cash balance was $18,600. Determine how much cash the company had at the close of business on September 30.

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Answer:

a) Corentine Co.

Cash paid to suppliers:

Beginning balance, September 30 $152,000

Purchases                                         $281,000

Ending balance, October 31            $132,500

Cash paid                                        $300,500

b) Valerian Co.

Sales to customers on account:

Ending balance, October 31              $89,000

Cash collected                                  $102,890

Beginning balance, September 30 $102,500

Sales                                                   $89,390

c) Alameda Company

Cash balance on September 30:

Cash disbursements $103,150

Balance, October 31   $18,600

Cash receipts           $102,500

Balance, Sept. 30       $19,200

Explanation:

The unknown amount for each case is the difference between the opening balance, the transactions for the month of October and closing balance.

If Lola Harper had the following itemized deductions, should she use Schedule A or the standard deduction? The standard deduction for her tax situation is $12,000. Tax Deductions Donations to church and other charities $6,180 Medical and dental expenses exceeding 10 percent of adjusted gross income 2,660 State income tax 4,820

Answers

Answer:

To determine whether she should use schedule A or standard deduction, we should add qualifying itemized deductions and should compare total standard deduction .

Therefore, Total itemized deductions = Donations + Medical and dental expenses + State income + Job expenses

Substitution of given values

Total itemized deductions = $1,200 + $6,180 + $2,660 + $4,820

Total itemized deductions = $14,860

Conclusion: in this case total itemized deduction of $14,860 is more than standard deduction of $12000 . So, Lola Harper should use schedule A compared to standard deduction.

The DUPONT model is useful when examining bank performance because:Select one:a. The ROA equals ROE times Leverage Multiplier.b. The net margin equals the asset utilisation.c. Banks have a similar financial structure as non-finance firms.d. Banks hold a lot of debt and have a small mark up, and the DuPont illustrates this relationship.

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Answer:

d. Banks hold a lot of debt and have a small mark up, and the DuPont illustrates this relationship.

Explanation:

The Dupont model is basically a more complex return on equity (ROE) analysis. It breaks down ROE using net profit, asset turnover and equity multiplier (or financial leverage) to focus on the financial performance of businesses.

ROE = profit margin x asset turnover x financial leverage

When firms have higher financial leverage, ROE will increase, but risk will also increase, resulting in higher cost of equity.

Banks tend to have a much higher financial leverage than most companies since their business is to take deposits (liabilities) and then make loans to other clients (assets). E.g. commercial banks on average have a debt to equity ratio of 2, while investment banks have a D/E ratio of 3 or more. That means that for every $1 of equity, investment banks have $3 of debt.

The Dupont analysis is useful for understanding whether a company's performance is based on its efficiency (high profit margin or asset turnover) or its financial leverage. If a high ROE is based solely on a high financial leverage, then the company is considered a risky investment.

A benefit paid for a limited time to eligible workers who are involuntarily unemployed is known as:

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A benefit paid for a limited time to eligible workers who are involuntarily unemployed is known as: unemployment insurance.

Economic profit can be derived from calculating total revenues minus all of the firm's costs

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Answer:

Economic profit can be derived from calculating total revenues minus all of the firm's costs, Economic profit can be derived from calculating total revenues minus all of the firm's costs, including its opportunity costs. are two stark realities any business firm must recognize.

Explain how the economic systems of countries differ?

Answers

Explanation:

Economic systems can be defined as a system with characteristics and principles for regulating all components of an economy, such as labor, production, resources, etc.

It is different according to each country, in that each country operates through different laws and rules for controlling the economy. There are countries that operate through a more rigid economic system, where there is government control over production and market prices, and there are countries that operate in a freer economic system, where the government does not interfere so much in private property, in profitability and in price, and organizations operate according to the law of supply and demand, such as the capitalist system, for example, which is a system that is very widespread in the globalized world, where the primary objective is the accumulation of profits.

The following data have been recorded for recently completed Job 450 on its job cost sheet. Direct materials cost was $2,049. A total of 35 direct labor-hours and 195 machine-hours were worked on the job. The direct labor wage rate is $21 per labor-hour. The Corporation applies manufacturing overhead on the basis of machine-hours. The predetermined overhead rate is $24 per machine-hour. The total cost for the job on its job cost sheet would be:

Answers

Answer:

Total cost= $7,464

Explanation:

Giving the following information:

Job 450:

Direct materials= $2,049

35 direct labor-hours

195 machine-hours  

The direct labor wage rate is $21 per labor-hour.

The predetermined overhead rate is $24 per machine-hour.

The total cost is calculated using the following formula:

Total cost= direct material + direct labor + allocated overhead

Total cost= 2,049 + 35*21 + 195*24

Total cost= 2,049 + 735 + 4,680

Total cost= $7,464

Select the correct answer. Adalyn wants to find a job in Education and Training. She has excellent analytical thinking and leadership skills, but she does not want to work directly with students. Which career would be the best option for her? A. curriculum developer B. high school teacher C. school counselor D. speech-language pathologist

Answers

Answer:

Curriculum

becasue it is the only job where she does not interact with students.

Answer:

A curriculum because  

The exchange rate for a nation's currency will usually remain constant or increase if
the supply of currency increases, but the demand does not.
the balance of payments is favorable.
the balance of payments is unfavorable.
inflation increases.

Answers

Answer:

B. The balance of payments is favorable

Explanation:

You’ve collected the following information about Gandalf, Inc.Sales $320,000 Net income $18,500Dividends $7,300Total debt $68,000Total equity $99,000 A. What is the sustainable growth rate for the company? B. Assuming it grows at this rate, how much new borrowing will take place in the coming year, assuming a constant debt-equity ratio? C. What growth rate could be supported with no outside financing at all?

Answers

Answer:

11.31%

Explanation:

sustainable growth rate = retention rate x return on equity

return on equity (ROE) = net income / shareholders' equity = $18,500 / $99,000 = 18.69%

retention rate = 1 - dividend payout ratio

dividend payout ratio = dividends / net income = $7,300 / $18,500 = 39.46%

retention rate = 1 - 39.46% = 60.54%

sustainable growth rate = 0.6054 x 0.1869 = 0.1131 = 11.31%

The sustainable growth rate for the company is : 11.31%

Sustainable growth rate is computed as :

= Retention rate x return on equity

Return on equity (ROE)

= Net income / shareholders' equity = $18,500 / $99,000 = 18.69%

Retention rate

= 1 - dividend payout ratio

Dividend payout ratio

= dividends / net income

= $7,300 / $18,500

= 39.46%

Retention rate

= 1 - 39.46%

= 60.54%

Sustainable growth rate

= 0.6054 x 0.1869

= 0.1131

= 11.31%

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You are 20 years old and have completed your BBA and want to pursue further education but you don’t want to take money from your father. Your plan is to start working and earn enough money so that you can finance your degree on your own and get yourself enrolled in five years’ time. You estimate that the annual cost of doing an MBA 5 years from today will be PKR 400,000 and the program will be two years long. You will need the money at the beginning your program so that you are not worried about how to clear your dues during your studies. Luckily you go for a job interview and they hire you and you start working at a salary of PKR 25,000. So you decide that 50% you will deposit in a saving account at a 10% rate with monthly compounding for your further studies and the remaining amount you will use for your daily expenses.
1. Will you be able to meet your goal at this current saving rate?
2. What percentage of your salary should you save if you want to have exactly your university expenses amount?
3. How would your answer to part 1 change if the saving account rate changed to 5%?Comment on your answer.
4. If you are given an option to invest at the 10% saving rate with monthly compounding or 10.5% semiannual compounding, which would you chose? Explain your answer.

Answers

Answer:

1. Will you be able to meet your goal at this current saving rate?

yes, you will even have some spare money

annual cost of MBA = 400,000 x 2 years = 800,000

monthly salary = 25,000 and you will deposit 12,500

ordinary annuity, 0.8333%, 59 periods (5 years - 1 month) = 75.80535

the future value of your account = 12,500 x 75.80535 = 947,566.88 which is more than the cost of the MBA

2. What percentage of your salary should you save if you want to have exactly your university expenses amount?

42.2138%

800,000 / 75.80535 = 10,553.34

10,553.34 / 25,000 = 0.422138 = 42.2138%

3. How would your answer to part 1 change if the saving account rate changed to 5%?

actually you still have more money than what you need even if the interest rate falls to 5%, so you can still take your MBA

monthly salary = 25,000 and you will deposit 12,500

ordinary annuity, 0.41666%, 59 periods (5 years - 1 month) = 66.72805

the future value of your account = 12,500 x 66.72805 = 834,100.63 which is more than the cost of the MBA

4. If you are given an option to invest at the 10% saving rate with monthly compounding or 10.5% semiannual compounding, which would you chose?

I would choose the 10.5% semiannual compounding because the effective interest rate is higher.

the effective interest rate of investing at 10% compounded monthly = (1 + 10%/12)¹² - 1 = 10.47%

the effective interest rate of investing at 10.5% compounded semiannually = (1 + 10.5%/2)² - 1 = 10.77%

On December 31, 2019, The Bates Company's revenue is $340,000 and expenses total $220,000 before consideration of the following: Accrued wages total $16,000; Accrued revenues total $46,000; Depreciation expense is $22,000; Rental revenue of $8,000 was earned; the rent from a tenant was initially recorded by Bates as unearned rent revenue; The income tax rate is 30% of income before income taxes. What is Bates' net income after consideration of the above information

Answers

Answer: $95,200

Explanation:

Net Income before tax = Revenue - Expenses

Revenue = Revenue + Accrued revenues + Rental revenue

= 340,000 + 46,000 + 8,000

= $394,000‬

Expenses = Expenses + Accrued wages + Depreciation expenses

= 220,000 + 16,000 + 22,000

= $258,000

Net Income before taxes = 394,000 - 258,000

= $136,000

Net Income after tax = 136,000 ( 1 - Tax rate)

= 136,000 ( 1 - 0.3)

= $95,200

What is the most effective learning theory in your opinion? Explain how does it modify one’s behavior? Support your answer with relevant examples.

Answers

Answer:

Experiential Learning Theory

Explanation:

I think that the experiential learning theory is the most effective learning theory. This learning theory projects experience as a crucial factor that promotes learning. It also explains that people learn better when they initiate their learning and not when they are forced to learn.

I think this theory is very effective as it makes the lessons learned to stick better and also cause the needed changes. For example, a teenager who is constantly reminded by his parents to avoid late night partying, but rejects the counsel, might learn better if he gets into trouble as a result of the experience. Also, a student who finds it difficult to understand a topic taught by a teacher, might get better at it when he initiates the learning himself by actively researching and studying on his own.

Gatwick Ltd. has after tax profits (net income) of $500,000 and no debt. The owners have a $6 million investment in the business. If they borrow $2 million at 10% and use it to retire stock, how will the return on their investment (equity) change if earnings before interest and taxes remains the same

Answers

Answer:

Return on equity would increase from 8.33%  to 9.50%

Explanation:

The tax rate of 40% is missing from the question.

Return on equity prior to share repurchase=$500,000/$6,000,000

Return on equity prior to share repurchase=8.33%

With the issue of debt finance of $2,000,000, the after-tax interest expense is computed thus:

after-tax interest expense=$2,000,000*10%*(1-40%)=120000

adjusted net income=$500,000-$120,000=$380,000

new common stock=$6,000,000-$2,000,000=$4,000,000

adjusted return on equity=$380,000/$4,000,000=9.50%

5. The demand for good X is estimated to be QXd = 10,000 - 4PX + 5PY + 2M + AX where PX is the price of X, PY is the price of good Y, M is income and AX is the amount of advertising on X. Suppose the present price of good X is $50, PY = $100, M = $25,000, and AX = 1,000 units. Determine 1. a. Own price elasticity of demand b. Cross price elasticity of demand c. Income elasticity of demand d. Is good y a complement or a substitute e. Is good is normal or inferior

Answers

Answer:

We need to calculate quantity demanded of good X

Qxd = 10,000 − 4PX + 5PY + 2M +
AX

Qxd = 10,000 − 4(50) + 5(100) + 2(25000) + 1000  

Qxd  = 10,000 - 200 + 500 + 50000 + 1000

Qxd  = 61,300

a. E(P) = ∆Qx/∆Px * (Px / Qx)

E(P) = - 4 * (50 / 61,300)

{where, ∆Qx/∆Px is the price coefficient = -4}

E(P) = = - 0.003    (The absolute value is 0.003)

Demand is inelastic, because price elasticity is less than 1.

b. CPED = ∆Qx/∆Py * (Py / Qx)

CPED = 5 * (100 / 61,300)

[where, ∆Qx/∆Py is the price coefficient of good Y = 5]

CPED = 0.008

c. IED = ∆Qx/∆M * (M / Qx)

= 2 * (25,000 / 61,300)

[where, ∆Qx/∆M is the income coefficient = 2]

= 0.816

d. Good Y and X is subtitles because  CPED is positive.

e. Good X is a normal good because income elasticity is positive.

Other Questions
How do experiments show cause-and-effect relationships? Hello, please help.Which descriptive phrase in the passage helped you understand how the actors might be feeling when they attend the awards ceremony? The student in this video 2 exhibits multiple warning signs of depression and suicidal risk. What signs didyou observe? Check all that apply.[mark all correct answers)a. Drinking alcoholb. Excessive guiltc. Depressiond. Suicidal riske. Smoking marijuana Which statement best explains how the development of agrarian civilization changed farming habits? A. People started to grow crops with specific harvesting cycles. B. People stopped growing crops that used too much water. C. People learned to harvest crops in any season. D. People began to fish to supplement their crops. If mZA = (8x + 6) and mZB = (7x + 24)', then find the measure of ZB What three modern countries came from parts of Prussia? ignore this i posted it by accident beep boop 5t+1= 9Please help me DOES ANYONE KNOW THIS????? Please help would be very very appreciated A pound is approximately 0.45 kilogram. A person weighs 87 kilograms. What is the person's weight, in pounds, when rounded to the nearestwhole number?39 lbOB. 52 lbOC 193 lbOD. 180 lb Help me please immediately!!!!!!!! Which of the following is the best example of two people who are in harmony? Base your answer on the meaning of harmony. A. two brothers who are always getting into arguments B. two strangers who accidentally bump into each other C. two rivals trying to outdo one another in a chess match D. two best friends who can finish each other's sentences Why do software developers prefer to use high-level language to author programs? A. It can be used on computers without microprocessors. B. It prevents anyone from making changes to the software later. c. It uses a more English-like syntax. d. Its less complicated because it only uses zeros and ones. Which statement most accurately differentiates between engineers and scientists? Engineers are in constant search of more knowledge and research; scientists are always driven to solve problems using technical innovations. Engineers explore theoretical solutions; scientists apply practical knowledge to all situations. Engineers explore basic human needs; scientists do not need to know about basic human needs. Engineers engage in real-world scenarios; scientists work with abstract or theoretical knowledge to solve problems. Please select the word from the list that best fits the definition Evidence of proofreading and revisions Organization Fluency Word choice Voice Conventions Ideas Which word is an ANTONYM for the word wholehearted?Ryan's attempt to get organized was wholehearted.typicalcommittedinsinceresidetracked Did the Chaldeans have a positive or negative impact on the Mesopotamia and explain why you feel the impact. Wich is equivalent to 12(3 2/3)!? Rafa va a preparar su itinerario y luego va a la agencia de viajes. What will Rafa most likely do next, based on where he is going? Comprar un boleto Descansar en la playa Ir a su oficina Preparar la maleta