"what amount of warehouse department cost will be allocated to department music if the service department with the highest percentage"

Answers

Answer 1

Complete Question:

Goldfarb's Book and Music Store has two service departments, Warehouse and Data Center. Warehouse Department costs of $310,000 are allocated on the basis of budgeted warehouse -hours. Data Center Department costs of $100,000 are allocated based on the number of computer log-on hours. The costs of operating departments Music and Books are $102,500 and $123,000, respectively. Data on budgeted warehouse-hours and number of computer log-on hours are as follows: Production Departments Support Departments Warehouse Data Center Department Department Music Books Budgeted costs Budgeted warehouse-hours Number of computer hours $310,000 NA 270 $100,000 520 NA $102,50 0 1080 900 $123,00 0 1590 1020 Using the step-down method, what amount of Warehouse Department cost will be allocated to Department Music if the service department with the highest percentage of interdepartmental support service is allocated first? (Do not round any intermediate calculations.) A) $34,702 B) $125,393 C) $33,856 D) $104,953

Answer:

Goldfarb's Book and Music Store

Amount of warehouse department cost allocated to department music is:

D) $104,953

Explanation:

a) Data and Calculations:

                                       Support Departments      Production Departments

                                      Warehouse   Data Center      Music        Books

Budgeted costs                $310,000      $100,000     $102,500   $123,000

Budgeted warehouse-hours  NA             520              1,080           1,590

Number of computer hours    270           NA                 900            1,020

b) Allocation of Warehouse costs:

Basis for allocation is budgeted warehouse hours:

Data Center = 520

Music =         1,080

Books =        1,590

Total hours  3,190

Allocation of Warehouse cost to Music:

1,080/3,190 * $310,000 = $104,953

b) The step-down method for allocating the manufacturing overheads of service departments to the production departments involves first allocating one service department's cost to the production departments and other service departments in a step-down manner.  After all service departments' costs have been so allocated, there is some re-allocation which then eliminates the costs of some departments.  This continues until all service departments' costs are allocated.  It is unlike the direct method which allocates one service department costs without allocating them to another service department.


Related Questions

An allocation system that uses departmental overhead allocation rates is more refined than one that uses a plantwide overhead allocation rate.a) trueb) false

Answers

Answer:

True

Explanation:

The departmental overhead allocation can be used in the case when the activity of the department is predicted also it is more refined than plant-wide as it applied for a single allocation rate. While on the other hand the departmental overhead rate is applied when there are several products that needed different process to manufacture a product

Therefore the given statement is true  

Which of the following transfers are available in getting money from individual savers to a business firm?
a. Direct transfers of money from savers to a business firm in exchange for the business firm’s securities
b. Indirect transfers through an investment banking firm
c. Indirect transfers through a financial intermediary
d. All of the choices are correct.

Answers

Answer: d. All of the choices are correct.

Explanation:

The funds that are provided by individual savers to firms for expansion are a very integral part of the financial system as they allow for companies to expand thus increase the Economy's productivity.

Some ways they can get their funds to business firms include;

Direct transfers of money when the company offers its stocks or bonds to directly individual savers who will then buy it from them with the money paid going towards the welfare of the business. Indirect transfers through an investment banking firm who act as intermediaries in stock and bond issues. Individual savers will communicate with the investment banks and then buy the stock and bonds from them. Indirect transfers through a financial intermediary can occur when savers pull their funds together in an institution such as a bank or mutual fund that will then invest in businesses for them.

A customer buys $100,000 of 30 year corporate bonds with 20 years remaining to maturity at 95. The customer elects not to accrete the discount annually. At maturity, the customer will have:A. no capital gain or lossB. a $5,000 taxable capital gainC. $5,000 of taxable interest incomeD. a $5,000 capital loss

Answers

Answer: A. No capital gain or loss

Explanation:

From the question, we are informed that a customer buys $100,000 of 30 year corporate bonds with 20 years remaining to maturity at 95 and that the customer elects not to accrete the discount annually.

At maturity, the customer will have no capital gain or loss. This is because, in this case, the bond has already been held to maturity and discount have therefore been accreted. There won't be capital loss or gain since the bond will noe to redeem at par.

Mitch, a single taxpayer, earns $100,000 in taxable income and $10,000 in interest from an investment in city of Birmingham Bonds. Using the U.S. tax rate schedule for year 2020, what is his average tax rate (rounded)

Answers

Answer: $18,079.5‬0

Explanation:

The tax is to be paid on the $100,000 alone as the $10,000 is municipal interest and is therefore tax exempt.

Taxes on the $100,000 in 2020;

= 14,605.50 + ( 24% of any amount above 85,525)

= 14,605.50 + ( 24% * ( 100,000 - 85,525))

= $18,079.5‬0

Lang Warehouses borrowed $131,300 from a bank and signed a note requiring 9 annual payments of $15,328 beginning one year from the date of the agreement. (FV of $1, PV of $1, FVA of $1, PVA of $1, FVAD of $1 and PVAD of $1) (Use appropriate factor(s) from the tables provided.)Required:Determine the interest rate implicit in this agreement. (Round interest rate to 1 decimal place.)Solve for iPresent value: n = i %
Annuity payment

Answers

Answer:

The interest rate implicit in this agreement is 1%

Explanation:

Present Value = $131,300

n = 9

i = ?

Annuity Payment = $15,328

Use the following formula to calculate the interest rate

PV of Annuity payment = Annuity Payment x ( 1 - ( 1 + r )^-n / r

$131,300 = $15,328 x ( 1 - ( 1 + r )^-9 / r

$131,300 / $15,328 = ( 1 - ( 1 + r )^-9 / r

8.5660 = ( 1 - ( 1 + r )^-9 / r

using Annuity Table the 8.5662 annuity factor for 9 payments shows under 1% interest rate.

So, the answer is 1%

Your project sponsor has asked you to explain the negative or threat risk response strategies and the opportunity or positive risk response strategies for a project. How would you describe them to the sponsor

Answers

Answer: kindly check explanation

Explanation: Risk as related to a project may be reffered to as occurrences or factors which could affect a project, they may not always be negative as usually perceived, they may be positive. Hence, when a perceived negative risk is perceived, it is essential to escalate and ensure that the necessary stakeholders become aware so as to find ways of mitigating or avoiding such happening.

In the case of positive risk or opportunity, escalating is equally important as it ensures relevant executives are aware and hence work on ways or processes to foster, embrace and exploit the advantage.

The resource based perspective indicates that firms exhibit different performances within the same industry because

Answers

Answer: c) some firms have superior resources

Explanation:

The resource based perspective aims to show that in an industry a company can make above average returns due to the superior resources it possesses that enables it to maintain a competitive advantage.

Some of these resources include people skills and technical know-how. For instance, a company might have better skilled computer programmers than others in the industry which will enable them produce better applications that they can use to corner the market.

A firm has a current ratio of 1.4 and a quick ratio of .9. Given this, you know for certain that the firm:

Answers

Had a positive Net working Capital

A firm has a current ratio of 1.4 and a quick ratio of has positive net working capital. Thus, option (e) is correct.

What is quick ratio?

The fast ratio reflects how successfully a corporation can pay its short-term debts using only its most liquid assets. The ratio is significant because it indicates if the business will run out of cash to internal management and outside investors.

A healthy current ratio somewhere between 1.2 and 2, indicating that the company has twice as many current assets as liabilities to cover its debts. A suitable current ratio in most sectors is between 1.5 and 2. A ratio smaller than one implies that a company's liabilities due within a year or less exceed its assets. A ratio smaller than one implies that a firm's liabilities due within a year or less exceed its assets.

As a result, the firm has a current ratio of 1.4 and a quick ratio of has positive net working capital. Therefore, option (e) is correct.

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Your question is incomplete, but most probably the full question was.

A. pays cash for its inventory.

B. has more than half its current assets invested in inventory.

C. has more cash than inventory.

D. has more current liabilities than it does current assets.

E. has positive net working capital.

Which of the following is least likely to be a source of disruption that results in less than the desired output in a high-volume system?
a. accidents
b. worker absences
c. demand variability
d. material shortages
e. equipment failures

Answers

Answer: c. demand variability

Explanation:

Demand variability refers to any fluctuations in the demand of a good or service by consumers so it is on the demand side of goods and services.

The question in asking what can affect output is asking for factors in the supply side of the good such as workplace accidents and worker absences causing labor to reduce the amount of output produced as well as material shortages and equipment failure doing the same.

Demand variability is therefore least likely to be a source of disruption that results in less than the desired output in a high-volume system.

In which incident response phase do team members determine how seriously the incident has affected critical systems or data

Answers

Answer:

incident identification

Explanation:

Incident identification is studying the impact of an incidence on a system and knowing the exact cause of the incident . Here, an organization identifies or determines whether they have been breached. To arrive at the actual cause of an incident in a system, some pointers like unusual activities - unusual login attempt, certain activities that are suspicious should be looked out for. Several questions that would prompt where the incident originates from should also be asked.

Although, incidence identification is usually a daunting task for most organizations ; once they are able to identify the causes, it makes the whole process seamless because the whole situation will be documented hence becomes a reference point for future occurrence.

The corridor is the ________________ section of the ______________________ curve of reserves in the federal funds market.

Answers

The corridor is the VERTICAL section of the SUPPLY curve of reserves in the federal funds market..

hope this helped:)

The corridor is the vertical section of the supply curve of reserves in the federal funds market.

What is market?

The term “market” refers to the exchange of commodities and services. A market mainly involves the buyer and seller. There are many types of markets, such as perfect competition, monopoly markets, monopolistic competition, and oligopoly markets. The share market was the important market to sale the stocks.

The corridor is the vertical section between the kinks, or simply the vertical segment of the supply curve. The federal funds rate tends to move other short-term borrowing costs, which affects the cost of borrowing for companies and consumers, the total quantity of credit and money in the economy, employment, and inflation of the market.

As a result, the corridor is the vertical section of the supply curve of reserves in the federal funds market.

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The distinction between fundamental and particular risks is important because a. normally only particular risks are insurable. b. whether a risk is fundamental or particular may determine how society will deal with it. c. none of the above. d. fudamental risks are a souce of gain to society.

Answers

Answer:

b. whether a risk is fundamental or particular may determine how society will deal with it.

Explanation:

The fundamental risk is the risk that impacts the larger number of people or we can say the population

While the particular risk is the risk that contains the losses of personal with respect to the origin and their effects. Here it impacts an individual or smaller number of people

So the distinction between both risk could be figured out by seeing how society would deal with it

Hence, the correct option is b.

Using payback to make capital investment decisions
Henry Co. is considering acquiring a manufacturing plant. The purchase price is $1,200,000. The owners believe the plant will generate net cash inflows of $325,000 annually. It will have to be replaced in six years. Use the payback method to determine whether Henry should purchase this plant. Round to one decimal place.

Answers

Answer: Henry should purchase this plant as it pays back in less than the 6 years it will have to be replaced in.

Payback period = 3.7 years

Explanation:

Payback period is a capital budgeting strategy that shows how long it will take for cash inflow to pay off the original investment.

The formula is;

= Year before payback + Cashflow remaining till payback/ Cash inflow in year of Payback

Year before payback

= 1,200,000/ 325,000

= 3.69

= 3 years

Cashflow remaining

= 1,2000,000 - (325,000 * 3)

= $225,000

= Year before payback + Cashflow remaining till payback/ Cash inflow in year of Payback

= 3 + 225,000/325,000

= 3.69

= 3.7 years

After Product positioning, what is the next step in the development of a marketing strategy?a. selecting the target marketb. determining the market mixc. formulating the marketing objectivesd. performing a situation analysise. conducting market research

Answers

Answer:

c. formulating the marketing objectives

Explanation:

Marketing process of a given goods or services involves series of steps which helps in the actualization of the mapped out objectives. Formulating the market objectives is one of them after product positioning. This market objectives helps in defining the goal and aim of the marketing team

Explain what is happening during each phase of the cycle with: I. output, II. employment III. and inflation

Answers

Answer:

During each phase of the economic cycle of Recession and Expansion, the following economic variables fluctuate, accordingly:

I. Output: During Recession, production output reduces.  But, during expansion, product output rises with rising income, employment, and even stable inflation.

II. Employment: During phases of economic Expansion, employment rises, while it contracts during the phases of Recession.

III. Inflation: Due to rising income and output during economic expansionary periods, inflation rate also rises.  It reduces when the economy enters a recession.

Explanation:

Business or Economic Cycle describes the recurrent, but not periodic, sequence of changes in the aggregate economic activities of a nation.  It usually cascades between the spectrum of expansion and recession.  This means that there is an alternation of the phases of economic cycle between expansion and contraction (recession) when the aggregate economic activities may rise or decline due to the equal movement of economic variables like the GDP output, employment, income, and sales.

To determine the effective gross income on a property, the sales associate should:________

Answers

Answer:

Subtract vacancy and credit costs from potential gross income

Explanation:

Effective gross income (EGI) is actually the ratio or relationship that exists between the sale price of a property and effective gross income of that same property.

It is the potential gross income added to other income when vacancy and credit costs are subtracted from it.

EGI is used to determine the value of a rental property and the cash that the property generates.

Which set of headings is the most helpful to a business reader who wishes to grasp the main ideas of a report quickly?

Answers

Answer:

b.Common Ethical Lapses Among Office Workers

Economic Losses From Unethical Behavior

Ethical Theories Invoked by Offenders

Punitive Measures

Possible Remedies

Explanation:

For a reader who hopes to grasp the main ideas of a report quickly, the report would have to be structured in such a way that the different sections follow each other sequentially so the progression of the report is picked up quickly.

The different sections should also be brief so that the reader can scan through them quickly and get the message.

Option B contains section topics in sequential order which show the reader that the point of the report is unethical behavior by employees. Section topics are also brief and to the point so the reader understands quickly.

A produce distributor uses 783 packing crates a month, which it purchases at a cost of $11 each. The manager has assigned an annual carrying cost of 32 percent of the purchase price per crate. Ordering costs are $31. Currently the manager orders once a month.How much could the firm save annually in ordering and carrying costs by using the EOQ? (Round intermediate calculations and final answer to 2 decimal places. Omit the "$" sign in your response.)

Answers

Answer:

Annual Savings will be ;

Ordering Cost = $2,993.88

Holding Cost = $661.78

Explanation:

First Calculate the Economic Order Quantity (EOQ)

EOQ = √ 2 × Annual Demand × Ordering Cost per Order / Holding Cost per unit

        = √ ((2 × 783× 12 × $31) / ($11 × 32%))

        = 407

Note : Currently the firm orders at 783 crates per month

Savings in Ordering Cost will be :

Savings = Ordering Cost at Current Quantity - Ordering Cost at EOQ

             = (Total Demand / Current Quantity × Ordering Costs) - (Total Demand / Current Quantity × Ordering Costs)

             = (9396/783 × $31) - (9396/407 × $31)

             = $2,993.88

Savings in Holding Cost will be :

Savings = (Current Quantity - Economic Order Quantity) / 2 × Holding Cost per unit

             = (783 - 407) / 2 × ($11 × 32%)

             = $661.78

Target's liabilities exceed owners' equity.
a) true
b) false

Answers

Answer: True

Explanation:

As of February 2020, Target Corp's total liabilities were listed to be $30,946,000,000 while its shareholder equity was significantly lower at $11,833,000,000.

Target Corp therefore does indeed have liabilities that exceed owners equity and by a substantial amount. This has also been the trend since at least 2015.

g The Deluxe Division, a profit center of Riley Manufacturing Company, reported the following data for the first quarter of 2019: Sales $9,000,000 Variable costs 6,300,000 Controllable direct fixed costs 1,200,000 Noncontrollable direct fixed costs 530,000 Indirect fixed costs 300,000 (a) Prepare a performance report for the manager of the Deluxe Division.

Answers

Answer:  Please find answers in explanation column

Explanation:

To know  the performance of a profit center like  Riley Manufacturing Company, the company will need to know  information  on the controllable margin which shows the excess of contribution margin over the controllable fixed cost  which measures how managers can  control revenues and costs.

Management Performance report for Deluxe Division of Riley Manufacturing Company.

Particulars                                       Amount

Sales                                             $9,000,000

Variable costs                               $ 6,300,000

Contribution margin

(sales - Variable costs )                 $2,700,000

Controllable fixed cost                   $1,200,000

Controllable cost/Margin               $1,500,000

(Contribution  margin -Controllable fixed cost   )

Riverside Motors is expected to pay an annual dividend next year of $3.10 a share. Dividends are expected to increase by 1.85 percent annually. What is one share of this stock worth at a required rate of return of 15 percent

Answers

Answer: $23.57

Explanation:

We are going to use growth dividend discount model to solve the question where Do = Div/r - g

where Po = stock price

Div = Estimated dividend for following period

r = required rae of return

g = growth rate

Po = 3.10/0.15 - 0.0185

= $23.57

At a=0.02 , is there enough evidence to support the tax collector's claim that the means are different?

Answers

Full question attached

Answer:

There is enough evidence to claim that the means are different

Explanation:

Please find explanation attached: we've used the the two sample t test to test our hypothesis to reach conclusion

Write down the statment which belong to the guidelines about a TREC policy statement?

Answers

Answer:

TREC means Texas Real Estate Commission

Explanation:

Here are some policies of TREC:

TREC may solicit and accept gifts or donations from any source to pay for any activity when such acts comply under chapter law.TREC may deny the license of an applicant who fails to meet the standards under the Texas Occupations Code.TREC may also issue a licence renewal for a period not exceeding 24 months.TREC may also waive the exam for a broker license if the applicant was previously licensed in the state as a broker and the application has been filed before the first anniversary the license's expiration date.TREC member will serve for 3 years.TREC appoints six members of the Texas Real Estate Broker= Lawyer Commitee.

Madrid Company has provided the following data (ignore income taxes): 2018 revenues were $77,500. 2018 net income was $33,900. Dividends declared and paid during 2018 totaled $5,700. Total assets at December 31, 2018 were $217,000. Total stockholders' equity at December 31, 2018 was $123,000. Retained earnings at December 31, 2018 were $83,000. Which of the following is correct? A) Total liabilities at December 31, 2018 were $11,000. B) Common stock at December 31, 2018 was $206,000. C) Retained earnings increased $28,200 during 2018.

Answers

Answer:

C. Retained earnings increased $28,200 during 2018.

Explanation:

Total liabilities = Total assets - Total equities

= $217,000 - $123,000

= $94,000

Common stock as at December 31, 2018 = Total equity - Total retained earnings

= $123,000 - $83,000

= $40,000

Retained earnings at year end =

Opening retained earnings + net income - dividend paid

$83,000 = Opening retained earnings + $33,900 - $5,700

$83,000 = Opening retained earnings + $28,200

Opening retained earnings = $54,800

Change in retained earnings = Closing retained earnings - Opening retainer earnings

= $83,000 - $54,800

= $28,200

Therefore, Option 'C' is the correct option.

Answer:

Explanation:wthatthesad

Indicate the effect of each transaction during the month of October 2016 and the balances for the accounting equation after all transactions have been recorded. No beginning balances exist in the accounts. An accounting equation has been provided.
a. Opened a business bank account for Jones, Inc., with an initial deposit of $45,000 in exchange for capital stock.
b. Paid rent on the office building for the month, $2,000.
c. Received cash for fees earned of $5,000.
d. Purchased equipment, $7,000.
e. Borrowed $20,000 by issuing a note payable.
f. Paid salaries for the month, $1,000.
g. Received cash for fees earned of $8,000.
h. Paid dividends, $3,000.
i. Paid interest on the note, $100.
Assets = Liabilities + Stockholders’ Equity
Cash Equipment Notes Payable Capital Stock Retained Earnings
a.
b.
c.
d.
e.
f.
g.
h.
i.
Bal.
Using the information above, prepare (1) an Income Statement, (2) a Statement of Retained Earnings, (3) a Balance Sheet, and (4) a Statement of Cash Flow for the month of October. Pay special attention to proper formatting for each statement.

Answers

Answer:

Test answer

Explanation:

Please delete that answer

which financial statement would best display a company's plant, property, and equipmnt used everyday

Answers

Answer:

Balance sheet

Explanation:

Balance sheet is referred to as the statement of assets and liabilities. Property plant and equipment are shown in balance sheet with a schedule of addition, deletion and depreciation is attached to it. Hence, the financial statement that would best display a company's plant, property and equipment used everyday is the Balance sheet.

Suppose the government is considering penalizing airlines $27,500 per passenger each time passengers are made to remain on the plane on the tarmac for more than three hours before a flight. True or False: The threat of this fine incentivizes airlines to cancel fewer flights than before.

Answers

Answer:

True

Explanation:

If this $27,500 fine is actually per passenger, it could greatly incentivize airlines to cancel fewer flights than before. Consider that, most airline tickets are far lower than  $27,500, so if airlines are paying fines worth many times more than they actually collect per individual tickets, they will incure great losses.

Raising Bulls, Inc., has current assets of $5,100, net fixed assets of $23,800, current liabilities (payables and accruals) of $4,300, and long-term debt of $7,400. (1) What is the value of the total shareholders' equity account for this firm? (2) How much is net working capital?

Answers

Answer:

Total Shareholders’ Equity

Total Shareholders’ Equity = Total Assets − Total LiabilitiesTotal

Shareholders’ Equity = {(Current Assets + Net Fixed Assets) − (Current liabilities + Long term debt)}

Total Shareholders’ Equity = {($5,100 + $23,800) − ($4,300 + $7,400)}

Total Shareholders’ Equity = $28,900 − $11,700

Total Shareholders’ Equity = $17,200

Net-working capital?

Net-working Capital = Current assets - Current liabilities

Net-working Capital = Current assets - Current liabilities (payables and accruals)

Net-working Capital = $5,100 - $4,300

Net-working Capital = $800

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In the year 2020, a divorced woman under age 50 collects $50,000 of alimony and child support as her sole source of income. The woman wishes to make a contribution to an Individual Retirement Account this year. Which statement is TRUE

Answers

The available options are:

A. No contribution can be made because the woman does not have earned income

B. A contribution of up to $6,000 is permitted, but the contribution is not tax deductible.

C. A tax deductible contribution of up to $7,000 is permitted

D. A tax deductible contribution of up to $9,000 is permitted

Answer:

No contribution can be made because the woman does not have earned income

Explanation:

Unlike in the previous years before 2019, concerning divorce agreements, alimony is now declared to be no longer deductible by the payor and at the same time is considered to be a tax-free income to the recipient. In essence, this indicates that alimony is no longer qualifies as earned income and therefore, cannot be utilized to fund an Individual Retirement Account.

Hence, in this case, since it is , year 2020, the correct answer is "No contribution can be made because the woman does not have earned income."

The following shows seven tasks required for a project, task times, and the precedence relationships among tasks. Construct Gantt chart and determine the project completion time.
Activity Time (weeks) Predecessors
А 3 None
B 2 None
C 4 A
D 5 A
E 2 B,D
F 4 B
G 5 С,Е,Р

Answers

Full question attached:

Answer attached

Answer and Explanation:

ES= earliest start time

LS=latest start time

EF= earliest finish time

LF= latest finish time

in calculating earliest start time, we look at predecessor to the task, for example c has a predecessor of A and so ES would be after A=3.in calculating our earliest start time and latest finish time we have used the forward pass and backward pass method respectively. The forward pass method uses the latest of the predecessors earliest finish in calculating ES while the backward pass method uses the earliest of the successors latest start(LS)in calculating latest finish(LF)

EF=ES+time

LS=LF-time

slack=LF-EF

The Critical path is ADEG identified by zero slacks

project duration is equal to duration of critical path equal to 15

Other Questions
Could the loss of 4% of the cerebral cortex cause the behavior changes noted in Phineas Gage? What is Red Data Book On January 1, 2012, Uncle Company purchased 80 percent of Nephew Companys capital stock for $672,000 in cash and other assets. Nephew had a book value of $806,000 and the 20 percent noncontrolling interest fair value was $168,000 on that date. On January 1, 2011, Nephew had acquired 30 percent of Uncle for $325,750. Uncles appropriately adjusted book value as of that date was $1,052,500.Separate operating income figures (not including investment income) for these two companies follow. In addition, Uncle declares and pays $30,000 in dividends to shareholders each year and Nephew distributes $4,000 annually. Any excess fair-value allocations are amortized over a 10-year period.Uncle Nephew Year Company Company2012 $131,000 $44,600 2013 174,000 55,000 2014 213,000 68,200 A. Assume that Uncle applies the equity method to account for this investment in Nephew. What is the subsidiarys income recognized by Uncle in 2014? B. What is the noncontrolling interests share of 2014 consolidated net income? The concept that servant leaders care about the personal well-being of their followers is best expressed by which characteristic of servant leadership? Social science is a branch of science that deals with the nature ofA human societyB. the physical worldC. animal societiesD. the medical fieldPlease select the best answer from the choices provided How did the wealth of Italy contribute to the rise of the Renaissance arts? A)The wealth was used to depict the success of the Crusaders. B) The wealth paid for artists from all over the world to come to Italy C) The wealthy became patrons of the arts D) The wealth was used to hire the best artists and architects away from the Church. list the order in which the body will consume carbohydrates, lipids, and proteins for energy, and explain why. Based on this informatoin, include what diet and excercise plan would be the best for someone trying to lose weight what climate zone can be hot or cold but always dry high mountain tropical desert or temperate If 10% of a number is 12, what is 5% of half the original number? In a game experience, the experience of monsters, E, is measured by the formula E= 100M/L, where M=number monsters and L=level of monsters. Solve the formula for L Store Travel Time Each Way Price of a Dress(Minutes) (Dollars per dress)Local Department Store 15 104Across Town 30 87Neighboring City 60 80Juanita makes $36 an hour at work. She has to take time off work to purchase her skirt, so each hour away from work costs her $36 in lost income. Assume that returning to work takes Juanita the same amount of time as getting to a store and that it takes her 30 minutes to shop. Assume that Juanita takes opportunity costs and the price of the dress into consideration when she shops. Juanita will minimize the cost of the dress if she buys it from the_______. Select the sentence that would best appear in the end of a narrative.My experience with my dog has taught me to never give up hope.It was my birthday, and I was hoping that my wish for a dog would come true.On my way home, I found a lonely and hungry-looking dog roaming the neighborhood.I posted flyers around the neighborhood, but no one called to claim the dog. At each checkpoint you must list the city, country, and continent. The teacher mustcheck all answers before you can go on to the next checkpoint.Checkpoint 1. Start at: 29N 98W and go to: 19N 99W when we talk of human sexuality, we consider the set of forms and expectations the society considers appropriate for men and woman. true or false 9w-4w+6 Why was the scientific method considered to be a major contribution during the Scientific Revolution? Rosa (bailar) un tango en el teatro. Considering the amounts of paid and unpaid leave for two-parent families, how does the United States compare with other wealthy countries Tom needs to rent tables for his family reunion. There will be 105 people attending. Each table seats 8people. how many tables does Tom need to rent?O 1412101816 Indicate the subject in the sentence. ' My friends and I are swimming in the big pool.' *