When a speaker ignores the audience's ideals and expectations:
O
A. the speaker's feelings might be hurt.
B. the speaker's grades may be poor.
C. the audience might change their values.
D. it is likely that the audience will distrust the speaker.
SUBMIT

Answers

Answer 1
I believe the answer is D
Answer 2

Answer:

D, It is likely that the audience will distrust the speaker.

Explanation:

100% For Sure, Right Answer

A p e x

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Related Questions

define private equity funds economics. ​

Answers

its like keeping the funds private and makeing sure no one knows alot about it

A good leader should have a positive outlook. Please select the best answer from the choices provided OT F​

Answers

Answer:

true

Explanation:

if your leader dont have postivie outlook it will spread to the others

Answer:

true

Explanation:

Refer to the data below. Retained earnings, December 31, 2019 $ 341,200 Cost of buildings purchased during 2020 48,000 Net income for the year ended December 31, 2020 55,100 Dividends declared and paid in 2020 32,600 Increase in cash balance from January 1, 2020, to December 31, 2020 23,400 Increase in long-term debt in 2020 45,000 Required: From the above data, calculate the Retained Earnings balance as of December 31, 2020:

Answers

Answer:

$363,700

Explanation:

The retained earnings balance as of December 31, 2020 is computed as;

= Retained earnings as of December 31, 2019 + Net income - Dividend paid

Given that

Retained earnings as of December 31, 2019 = $341,200

Dividends = $32,600

Net income = $55,100

Retained earnings balance as of December 31, 2020

= $341,200 + $55,100 - 32,600

= $363,700

why do you think the government should regulate advertising​

Answers

Answer:

Advertising control prevents businesses from presenting false information, placing billboards in illegal locations and other prohibited actions. If a business does not follow the advertising regulations set by the government, it could face a civil suit.

Advertising control prevents businesses from presenting false information, placing billboards in illegal locations and other prohibited actions. If a business does not follow the advertising regulations set by the government, it could face a civil suit.

what is job description​

Answers

A job description or JD is a written narrative that describes the general tasks, or other related duties, and responsibilities of a position. It may specify the functionary to whom the position reports, specifications such as the qualifications or skills needed by the person in the job, information about the equipment, tools and work aids used, working conditions, physical demands, and a salary range. Job descriptions are usually narrative,[1] but some may comprise a simple list of competencies; for instance, strategic human resource planning methodologies may be used to develop a competency architecture for an organization, from which job descriptions are built as a shortlist of competencies.[2][not specific enough to verify]

According to Torrington, a job description is usually developed by conducting a job analysis, which includes examining the tasks and sequences of tasks necessary to perform the job. The analysis considers the areas of knowledge, skills and abilities needed to perform the job. Job analysis generally involves the following steps: collecting and recording job information; checking the job information for accuracy; writing job descriptions based on the information; using the information to determine what skills, abilities, and knowledge are required to perform the job; updating the information from time to time. [3] A job usually includes several roles. According to Hall, the job description might be broadened to form a person specification or may be known as "terms of reference". The person/job specification can be presented as a stand-alone document, but in practice it is usually included within the job description. A job description is often used by employers in the recruitment process.

A job description is concerned with addressing the following issues about the job:

Job titleJob locationJob summaryWorking environmentDuties or tasks.

What is the role of a job description?

In addition to being concerned with the above-stated issues, a job description helps management to identify the job specifications, including the environmental pressures that apply to the position.

A job description also provides the measurement criteria for performance evaluations of each job holder.

Thus, a job description addresses job-related issues.

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Sheffield Corp. sells its product for $70 per unit. During 2019, it produced 60000 units and sold 50000 units (there was no beginning inventory). Costs per unit are: direct materials $15, direct labor $12, and variable overhead $1. Fixed costs are: $720000 manufacturing overhead, and $90000 selling and administrative expenses. The per unit manufacturing cost under absorption costing is

Answers

Answer:

$40

Explanation:

Calculation to determine what The per unit manufacturing cost under absorption costing is

The per unit manufacturing cost under absorption costing= $15 + $12 + $1 + ($720,000 / 60,000)

The per unit manufacturing cost under absorption costing= $15 + $12 + $1 +$12

The per unit manufacturing cost under absorption costing= $40

Therefore The per unit manufacturing cost under absorption costing is $40

Stock A's beta is 1.7 and Stock B's beta is 0.7. Which of the following statements must be true about these securities? (Assume market equilibrium.) a. The expected return on Stock B should be greater than that on A. b. Stock B must be a more desirable addition to a portfolio than A. c. Stock A must be a more desirable addition to a portfolio than B. d. When held in isolation, Stock A has more risk than Stock B. e. The expected return on Stock A should be greater than that on B.

Answers

Answer:

D

Explanation:

Systemic risk is measured by beta. In the CAPM equation, beta is a positive function of required return, so the higher beta is, the higher the systemic risk and the higher the compensation demanded for by investors.

required return = risk free return + beta x ( market risk premium)

The appropriateness of adding a stock to a portfolio cannot be determined by looking at the stock alone. the stock has to be looked at in context with the total portfolio

ABC Incorporated has operating income before interest and taxes in 2020 of $199.2 million. The firm is expected to generate this level of operating income indefinitely. The firm had depreciation expense of 10 million that same year. Capital spending totaled 20 million during 2020. At the end of 2019 and 2020, working capital totaled 70 and 80 million, respectively. The firm's combined marginal state, local, and federal tax rate was 30% and its debt outstanding had a market value of 1.2 billion. The 10 year Treasury bond rate is 2% and the borrowing rate for companies exhibiting levels of creditworthiness similar to ABC is 5%. The historical risk premium for stocks over the risk free rate of return is 5.5%. ABC's beta was estimated to be 1.0. The firm has 2,500,000 common shares outstanding at the end of 2020. ABC's target debt to total capital ratio is 30%.
1. The free cash flow to the firm in 2020 (in million).
2. The WACC is (in percentage).
3. The firm value is million.

Answers

Answer and Explanation:

The computation is shown below:

1. Free cash flow

= EBIT × (1 - tax rate) + depreciation expense - capital expenditure - change in net working capital

= $199.2 × (1 - 0.30) + $10 - $20 - ($80 - $70)

= $119.44

2. The WACC is  

But before that following calculations need to be done

Cost of equity = (2 + 1 × 5.5)

= 7.50%

The cost of debt is 5%

The debt to total capital ratio is 30%

The equity to total capital ratio is (100 - 0.30) = 0.70

Tax rate is 30%

Now

WACC is  

= (7.5 × 0.7 + 5 × 0.3 × (1 - 0.3))

= 6.30%

3. The firm value is

= $119.44 ÷ 0.063

= $1,895.87 million

Your broker is selling you an investment scheme in which you will receive $5,000 four years from now, $6,000 five years from now and $7,000 six years from now. The broker is asking you to pay $15,000 for this investment scheme. Your required rate of return is 12%. If you were to pay $15,000 for this scheme, what is the annual rate of return you would earn

Answers

Answer:

IRR = 3.64%

Explanation:

using a financial calculator or excel spreadsheet we can determine the IRR of this investment:

year 0 = -$15,000

year 1 = $0

year 2 = $0

year 3 = $0

year 4 = $5,000

year 5 = $6,000

year 6 = $7,000

IRR = 3.64%

Since your required rate of return is 12%, you should pay a maximum of  $10,128.57

Financial reports prepared for a variety of external users who are unable to obtain the accounting information for their own specific needs are known as:
a.
External user reports.
b. External purpose financial statements
c. Non-specific user reports
d. General purpose financial​

Answers

Answer:

General purpose financial reports

Explanation:

From the word 'General', a financial statements which is issued to include a range of fonacila reports without a focus on a certain or specific aspect of a financial disclosure is called a general purpose financial report. The general purpose accounting report is usually issued in other to serve as an investment report to external users, lenders or investors. These accounting report usually incorporates reports including ; Statement of cashflow, balance sheet, shareholders equity, audit report income statement and other available reports.

The term that describes Financial reports which is prepared for a variety of external users that could not get accounting information for their own specific needs are D: General purpose financial.

In accounting, General purpose financial report are been prepared variety of external users especially those that couldn't obtain the accounting information for their own specific needs.

It serves as financial reports that serve many variety of function in domain of accounting.

Therefore, option D is correct.

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The relationship between the type of diversification and overall firm performance Multiple Choice takes on the shape of an inverted U so related diversification has the best performance. is negative, meaning that more diversification always leads to lower firm performance. there is no relationship between the type of diversification and overall firm performance. takes on the shape of a U where modest diversification has the worst performance. is positive, meaning that more diversification always leads to higher firm performance.

Answers

Answer:

takes on the shape of an inverted U so related diversification has the best performance.

Explanation:

A portfolio variance is used to determine the overall risk or dispersion of returns of a portfolio and it is the square of the standard deviation associated with the particular portfolio.

The portfolio variance is given by the equation;

[tex]Variance = w^{2}_{1} d^{2}_{1} + w^{2}_{2} d^{2}_{2}+2w_{1}w_{2}C_{OV_{1, 2}}[/tex]

Where;

[tex]w_{n}[/tex] = the weight of the nth security.

[tex]d^{2}_{n}[/tex] = the variance of the nth security.

[tex]C_{OV_{1, 2}}[/tex] = the covariance of the two security.

The relationship between the type of diversification and overall firm performance takes on the shape of an inverted U, so related diversification has the best performance.

Kenwood Homes, Inc., allows employees to purchase, at cost, manufacturing materials, such as metal and lumber, for personal use. To purchase materials for personal use, an employee must complete a materials requisition form, which must then be approved by the employee's immediate supervisor. Cheryl Long, an assistant cost accountant, charges the employee an amount based on Kenwood's net purchase cost. Cheryl Long is in the process of replacing a deck on her home and has requisitioned lumber for personal use, which has been approved in accordance with company policy. In computing the cost of the lumber, Long reviewed all the purchase invoices for the past year. She then used the lowest price to compute the amount due the company for the lumber. Discuss whether Long behaved in an appropriate manner.

Answers

Answer:

Cheryl did not act ethically because she used the lowest possible cost in order to calculate her own purchase cost. She should probably use an average cost or any other inventory management system (e.g. FIFO or LIFO). instead, she used the lowest possible price for her own personal benefit.

Explanation:

Riverton Corp., which began business at the start of the current year, had the following data: Planned and actual production: 40,000 units Sales: 37,000 units at $15 per unit
Production costs: Variable: $4 per unit
Fixed: $260,000
Selling and administrative costs:
Variable: $1 per unit
Fixed: $32,000 The contribution margin that the company would disclose on a variable-costing income statement is:________.
a. None of the answers is correct.
b. $166,500.
c. $97,500.
d. $370,000.
e. $147,000.

Answers

Answer:

B. $166,500

Explanation:

Given the above information, we'll calculate fixed cost per unit.

Fixed cost per unit

= $260,000 ÷ 40,000 units

= $6.5 per unit

Then,

Sales per units

= Variable cost per unit - Fixed costs per units

= $15 - $4 - $6.5

= $4.5

Contribution margin

= $4.5 × 37,000

= $166,500

when you go back to the house, do u wear shoes in your house ​

Answers

Answer:

No, i live in an asian household-

Explanation:

Assume that the CBL is not marketable at split-off but must be planed and sized at a cost of $300,000 per production run. During this process, 10,000 units are unavoidably lost and have no value. The remaining units of CBL are salable at $14 per unit. The RBL, although salable immediately at the split-off point, is coated with a tarlike preservative that costs $200,000 per production run. The RBL is then sold for $12 each. Using the net realizable value basis, how much of the completion costs should be assigned to each unit of CBL

Answers

Question

Northwest Building Products (NBP) manufactures two lumber products from a joint milling process: residential building lumber (RBL) and commercial building lumber (CBL). A standard production run incurs joint costs of $350,000 and results in 100,000 units of RBL and 90,000 units of CBL. Each RBL sells for $13 per unit and each CBL sells for $13 per unit.

Assume that the CBL is not marketable at split-off but must be planed and sized at a cost of $300,000 per production run. During this process, 10,000 units are unavoidably lost and have no value. The remaining units of CBL are salable at $14 per unit. The RBL, although salable immediately at the split-off point, is coated with a tarlike preservative that costs $200,000 per production run. The RBL is then sold for $12 each. Using the net realizable value basis, how much of the completion costs should be assigned to each unit of CBL

 

Answer:

Completion cost per unit of CBL=$5.82

Explanation:

Joint cost is the total cost incurred from the start of start of production process up until the split off point where two or more products result from the same process. The joint products in this case are CBL and RBL

The completion cost of CBL is the sum of the apportioned joint cost at the split-off point plus the further processing cost

Completion cost = apportioned joint cost + further processing cost

Joint cost can be apportioned using the net realizable value as follows

Total net realizable value at the split of point for the two product=

RBL =$13 × 100,000=1,300,000

CBL =$13 × 90,000=1,170,000

Total                         2,470,000

Apportioned joint cost to CBL = sales value of CBL/Total sales of product× joint cost

= (1,170,000/2,470,000)*$350,000=   165,789.47  

Completion cost =  165,789.47   +  300,000 =  $465,789.47

Completion cost per unit of CBL =  Completion cost/Expected unit

                                                       =$465,789.47/(90,000-10,000) units

                                                       =$5.82

Note that the expected units is that available for sale after normal loss as be accounted for. So, we deduct the loss units

Completion cost per unit of CBL=$5.82

Which of the following social media influencing tactics can be described as getting someone to do or buy something because others are also doing it?
A.
Aspirational buying

B.
Bandwagon appeal

C.
Flattery

D.
Juxtaposition

Answers

Answer:

B. bandwagon appeal

Explanation:

Annenbaum Corporation uses the weighted-average method in its process costing system. This month, the beginning inventory in the first processing department consisted of 1,400 units. The costs and percentage completion of these units in beginning inventory were:
Cost Percent Complete
Materials costs $6,700 65%
Conversion costs $7,800 45%
A total of 8,500 units were started and 6,900 units were transferred to the second processing department during the month. The following costs were incurred in the first processing department during the month:
Cost
Materials costs $126,500
Conversion costs $208,000
The ending inventory was 50% complete with respect to materials and 35% complete with respect to conversion costs. The cost per equivalent unit for conversion costs for the first department for the month is closest to:_____.
a. $18.42.
b. $19.02.
c. $19.91.
d. $17.60.

Answers

Answer: $27.14

Explanation:

First find the ending inventory:

= Beginning inventory + Units started - units transferred

= 1,400 + 8,500 - 6,900

= 3,000 units

Conversion EUP = Units transferred + (50% * ending inventory)

= 6,900 + (35% * 3,000)

= 7,950 units

Conversion cost per EUP:

= (Beginning conversion cost + month conversion cost) / EUP

= (7,800 + 208,000) / 7,950

= $27.14

The options are probably for another variant of this question.

define securitization.​

Answers

Answer:

The conversion of an asset, especially a loan, into marketable securities, typically for the purpose of raising cash by selling them to other investors.

Costs associated with two alternatives, code-named Q and R, being considered by Albiston Corporation are listed below: Alternative Q Alternative R Supplies costs $ 74,000 $ 74,000 Power costs $ 34,200 $ 33,400 Inspection costs $ 27,000 $ 33,400 Assembly costs $ 39,000 $ 39,000 Required: a. Which costs are relevant and which are not relevant in the choice between these two alternatives

Answers

Answer:

Explanation:

Relevant costs are the costs which are affected by the decisions made by the management of an organization while irrelevant costs do not change in future as they're not affected by the decisions from the management.

Based on the information given, the relevant cost are:

1. Power cost

2. Inspection cost

The non relevant cost are:

1. Supplies cost

2. Assembly cost

The total of the accounts receivable subsidiary ledger must equal?

Answers

The accounts receivable account balance in the general ledger

Recession, inflation, and high interest rates are economic events that are best characterized as being Group of answer choices irrelevant except to governmental authorities like the Federal Reserve. risks that are beyond the control of investors and thus should not be considered by security analysts or portfolio managers. among the factors that are responsible for market risk. company-specific risk factors that can be diversified away. systematic risk factors that can be diversified away.

Answers

Answer:

among the factors that are responsible for market risk.

Explanation:

Systemic risk are risk that are inherent in the economy. They cannot be diversified away. They are also known as market risk. examples of this risk include recession, inflation, and high interest rates. Investors should seek compensation for systemic risk. Systemic risk is measured by beta. The higher beta is, the higher the systemic risk and the higher the compensation demanded for by investors

Non systemic risk are risks that can be diversified away. they are also called company specific risk. Examples of this type of risk is a manager engaging in fraudulent activities.

Enrique Industries purchased and consumed 50,000 gallons of direct material that was used in the production of 11,000 finished units of product. According to engineering specifications, each finished unit had a manufacturing standard of five gallons. If a review of Enrique's accounting records at the end of the period disclosed a material price variance of $5,000U and a material quantity variance of $3,000F, what is the actual price paid for a gallon of direct material

Answers

Answer:

$0.7 = actual price

Explanation:

First, we need to calculate the standard price using the direct material quantity variance:

Direct material quantity variance= (standard quantity - actual quantity)*standard price

3,000 = (11,000*5 - 50,000)*standard price

3,000 = 55,000standard price - 50,000standard price

3,000/5,000 = standard price

$0.6= standard price per gallon

To calculate the actual price paid per gallon, we need to use the direct material price variance:

Direct material price variance= (standard price - actual price)*actual quantity

-5,000 = (0.6 - actual price)*50,000

-5,000 = 30,000 - 50,000actual price

-35,000 = -50,000actual price

$0.7 = actual price

Delisa Corporation has two divisions: Division L and Division Q. Data from the most recent month appear below: Total Company Division L Division Q Sales $490,000 $125,000 $365,000 Variable expenses 288,800 62,500 226,300 Contribution margin 201,200 62,500 138,700 Traceable fixed expenses 111,650 34,790 76,860 Segment margin 89,550 $ 27,710 $ 61,840 Common fixed expenses 36,910 Net operating income $ 52,640 The break-even in sales dollars for Division Q is closest to:

Answers

Answer:

Break-even point (dollars)= $202,263.16

Explanation:

Giving the following information:

Division Q:

Sales= $365,000

Total variable costs= 226,300

Fixed costs= 76,860

To calculate the break-even point for Division Q, we need to use the following formula:

Break-even point (dollars)= fixed costs/ contribution margin ratio

Break-even point (dollars)= 76,860 / [(365,000 - 226,300) / 365,000]

Break-even point (dollars)= 76,860 / 0.38

Break-even point (dollars)= $202,263.16

what the role of marketing

Answers

Answer:

The Marketing Department plays a vital role in promoting the business and mission of an organization. It serves as the face of your company, coordinating and producing all materials representing the business.

Explanation:

hope this helps and I want brainless

Perteet Corporation's relevant range of activity is 3,300 units to 7,500 units. When it produces and sells 5,400 units, its average costs per unit are as follows: Average Cost per Unit Direct materials $ 6.20 Direct labor $ 3.15 Variable manufacturing overhead $ 1.30 Fixed manufacturing overhead $ 3.10 Fixed selling expense $ 0.60 Fixed administrative expense $ 0.30 Sales commissions $ 0.40 Variable administrative expense $ 0.45 If 4,200 units are produced, the total amount of manufacturing overhead cost is closest to: Multiple Choice $18,480 $29,970 $22,200 $15,540

Answers

Answer: $22,200

Explanation:

The total amount of manufacturing overhead cost will be gotten by adding the fixed manufacturing overhead cost to the variable manufacturing overhead cost. This will be:

Fixed manufacturing overhead cost = 5400 × $3.10 = $16740

Variable manufacturing overhead cost will be: = (7500 - 3300) × $1.30 = $5460

Therefore, the total amount of manufacturing overhead cost will be:

= $16740 + $5460

= $22,200

Uva Systems Inc. has a limited amount of direct material available for products 1A1 and 2B2. Each unit of 1A1 has a contribution margin of $12 and each unit of 2B2 has a contribution margin of $30. A unit of 2B2 uses three times as much direct material as a unit of 1A1. What is Uva's most profitable sales mix, assuming there is unlimited demand for either product

Answers

Answer:

Make All 1A1

Explanation:

Calculation to determine What is Uva's most profitable sales mix, assuming there is unlimited demand for either product

First step is to calculate the Contribution margin of 1 unit of 2B2

Contribution margin of 1 unit of 2B2 = 1 x $30

Contribution margin of 1 unit of 2B2 = $30

Second step is to calculate the Contribution margin of 3 units of 1A1

Contribution margin of 3 units of 1A1 = 3 x $12

Contribution margin of 3 units of 1A1 = $36

Based on the above calculation for both Contribution margin of 1 unit of 2B2 and Contribution margin of 3 units of 1A1 we can see that Contribution margin of 3 units of 1A1 is the most profitable sales mix.

Therefore Uva's most profitable sales mix, assuming there is unlimited demand for either product is Make All 1A1

Underlying most of the trade theories discussed is the notion that: Group of answer choices firms that establish a first-mover advantage with regard to the production of a particular new product will dominate global trade in that product. despite a pivotal role in international trade, businesses are typically unable to influence government trade policy. it usually makes sense for a firm to consolidate its productive activities in one country. different countries have particular advantages in different productive activities.

Answers

Answer:

It usually makes sense for a firm to consolidate its productive activities in one country

Explanation:

There are several trade trade theories. Successful trade theories believe in unrestricted free trade, which does not allow government policies to exist.

Trade Theories includes;

1. Classic theories

2. Modern theories

In which one of the following instances is the rivalry among competing sellers generally
weaker?
When the industry's product is costly to hold in inventory, perishable, or seasonal
o When one or more rivals are dissatisfied with their business performance and are making
aggressive moves to attract more customers
When there are so many rivals that any one company's actions have little direct impact on
the businesses of rivals
when rivals have dissimilar costs and dissimilar industry outlooks
When competing sellers are active in making fresh moves to improve their market standing
and business performance
Copying, redistributing, or website posting is expressly prohibited and constituto copyright violation
Version 1070576 * Copyright 2021 by lo-Bus Software, ine
Next
End Quta
< Previous

Answers

Answer:

I'd say when there are so many rivals that one company's action have little direct impact on the businesses of rivals

A homeowner in a sunny climate has the opportunity to install a solar water heater in his home for a cost of $3,979. After installation the solar water heater will produce a small amount of hot water every day, forever, and will require no maintenance. How much must the homeowner save on water heating costs every year if this is to be a sound investment

Answers

Answer:

$198.95

Explanation:

Calculation for How much must the homeowner save on water heating costs every year if this is to be a sound investment

Using this formula

Saving =Cost *Interest rate

Let plug in the formula

Savings=3,979*5%

Savings=$198.95

Therefore How much must the homeowner save on water heating costs every year if this is to be a sound investment is $198.95

DT Motors paid its first annual dividend yesterday in the amount of $4.75 a share. The company plans to increase the dividend at a rate of 20 percent per year for the next 3 years. Thereafter, the dividend is expected to grow at 3.50 percent per year indefinitely. What is the amount of the dividend that is expected to be paid 11 years from now (D11 )

Answers

Answer:

$9.52

Explanation:

Calculation for the amount of the dividend that is expected to be paid 11 years from now (D11 )

D11 = 4.75(1.20)3(1.035)8

D11= $9.52

Therefore the amount of the dividend that is expected to be paid 11 years from now (D11 ) is $9.52

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