ivanhoe oil company is considering investing in a new oil well. it is expected that the oil well will increase annual revenues by $124,600 and will increase annual expenses by $85,000 including depreciation. the oil well will cost $430,000 and will have a $10,000 salvage value at the end of its 10-year useful life. calculate the annual rate of return.

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Answer 1

The annual rate of return for the investment in the new oil well is 2.05%, which is lower than the company's required rate of return, making this investment unattractive.

To calculate the annual rate of return, we need to determine the net cash flows for each year of the investment's useful life, which is ten years in this case.

First, we calculate the annual net cash flows, which is the difference between the annual revenue increase and the annual expense increase, including depreciation. Thus, the annual net cash flows are:

Annual net cash flows = Annual revenues - Annual expenses

Annual net cash flows = $124,600 - $85,000 = $39,600

Next, we calculate the total net cash flows over the ten-year life of the investment by summing the annual net cash flows and adding the salvage value at the end of the useful life:

Total net cash flows = (Annual net cash flows x Number of years) + Salvage value

Total net cash flows = ($39,600 x 10) + $10,000 = $400,000

Finally, we calculate the annual rate of return using the following formula:

Annual rate of return = (Total net cash flows / Initial investment) ^ (1/Number of years) - 1

Annual rate of return = [tex]($400,000 / $430,000) ^{ (1/10)} - 1[/tex]

Annual rate of return = 0.0205 or 2.05%

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Related Questions

Name two environmentally related legislative acts passed by Congress in the 1970's

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There were two significant environmental legislative acts passed by Congress in the 1970s, namely the Clean Air Act (CAA) and the Clean Water Act (CWA).

The CAA was first passed in 1970 and was later amended in 1977 and 1990 to strengthen its provisions. The CAA aims to regulate air pollution by setting emission standards for harmful pollutants such as sulfur dioxide and nitrogen oxides. The act also sets limits on emissions from automobiles, factories, and power plants.

On the other hand, the CWA was enacted in 1972 to regulate water pollution in the United States. The act aims to maintain the chemical, physical, and biological integrity of the nation's waters by setting pollution control standards for industries and wastewater treatment plants. The CWA also prohibits the discharge of pollutants into navigable waters without a permit and requires states to establish water quality standards.

Both the CAA and CWA have been instrumental in improving the environmental quality of the United States over the past several decades. These acts have resulted in significant reductions in air and water pollution, improved public health, and preserved natural resources for future generations.

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Consider a hypothetical economy where there are no taxes and no international trade. Households spend $0. 90 of each additional dollar they earn and save the remaining $0. 10. If there are no taxes and no international trade, the oversimplified multiplier for this economy is. Suppose investment spending in this economy decreases by $200 billion. The decrease in investment will lead to a decrease in income, generating a

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In the hypothetical economy described, where there are no taxes and no international trade, we can determine the multiplier using the marginal propensity to consume (MPC), which is the proportion of additional income that households spend. In this case, the MPC is 0.90.

The multiplier can be calculated using the formula:

Multiplier = 1 / (1 - MPC)

In this economy, the multiplier is:

Multiplier = 1 / (1 - 0.90) = 1 / 0.10 = 10

Now, suppose investment spending decreases by $200 billion. To determine the overall decrease in income, we can use the multiplier:

Decrease in income = Decrease in investment × Multiplier

Decrease in income = $200 billion × 10 = $2,000 billion

In this hypothetical economy, a decrease in investment spending by $200 billion will lead to a decrease in income of $2,000 billion.

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which of the following organization structures is usually bureaucratic, the division of labor is typically well defined, and is suitable for companies in which processes are routine and efficiency is of primary importance? a. decentralized b. tall c. centralized d. flat e. hierarchical

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The organization structure that is usually bureaucratic, with a well-defined division of labor and suitable for companies where processes are routine and efficiency is of primary importance is the centralized structure. Option C is correct.

This structure is characterized by a hierarchy of authority with decision-making power concentrated at the top. The top management makes decisions and communicates them down the line to lower-level employees who implement them. In a centralized structure, there is a clear chain of command, and the decision-making process is highly formalized.

Centralized structures are common in large organizations with many levels of management. In such organizations, the division of labor is well-defined, and each employee has a specific job function. Employees are highly specialized and perform routine tasks that are standardized to ensure maximum efficiency.

Centralized structures are suitable for companies in which processes are routine and efficiency is of primary importance. However, they can also be bureaucratic and slow-moving, making it difficult to respond quickly to changes in the market or other external factors. Therefore, companies that require more flexibility and adaptability may opt for a flatter structure, which allows for more decentralized decision-making and a greater degree of autonomy for lower-level employees.

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Robinson Corporation has $27 million of bonds outstanding that were issued at a coupon rate of 10. 950 percent seven years ago. Interest rates have fallen to 10. 250 percent. Mr. Brooks, the Vice-President of Finance, does not expect rates to fall any further. The bonds have 17 years left to maturity, and Mr. Brooks would like to refund the bonds with a new issue of equal amount also having 17 years to maturity. The Robinson Corporation has a tax rate of 30 percent. The underwriting cost on the old issue was 2. 70 percent of the total bond value. The underwriting cost on the new issue will be 1. 80 percent of the total bond value. The original bond indenture contained a five-year protection against a call, with a 6 percent call premium starting in the sixth year and scheduled to decline by one- half percent each year thereafter. (Consider the bond to be seven years old for purposes of computing the premium. ) Use Appendix D for an approximate answer but calculate your final answer using the formula and financial calculator methods. Assume the discount rate is equal to the aftertax cost of new debt rounded up to the nearest whole percent (e. G. 4. 06 percent should be rounded up to 5 percent). ​

Answers

The cost of issuing new bonds is $27.05 million, which is greater than the market value of the old bonds of $54.75 million. Hence, it is not beneficial for Robinson Corporation to refund its outstanding bonds at this time.

To determine whether it is beneficial for Robinson Corporation to refund its outstanding bonds, we need to compare the cost of the old bonds to the cost of issuing new bonds.

First, let's calculate the current market value of the old bonds:

PV = C x (1 - (1 + r)-n)/r + F/(1 + r)n

Where:

PV = present value

C = coupon payment

r = discount rate (10.250%)

n = number of periods (17 years x 2 semi-annual periods = 34)

F = face value

PV = $54.75 million

Next, let's calculate the call price of the old bonds:

Call price = Face value x (1 + call premium rate)

Call premium rate = 6.0% + (7 - 6) x 0.5% = 6.5%

Call price = $27 million x (1 + 6.5%) = $28.755 million

Since the current market value of the old bonds is less than the call price, Robinson Corporation cannot call the bonds. Instead, it can only refund them by issuing new bonds.

The cost of issuing new bonds can be calculated as follows:

Coupon payment = Face value x coupon rate = $27 million x 10.950% = $2.955 million

Underwriting cost on old issue = $27 million x 2.70% = $0.729 million

Underwriting cost on new issue = $27 million x 1.80% = $0.486 million

Total proceeds from new issue = Face value - underwriting cost = $27 million - $0.486 million = $26.514 million

To calculate the after-tax cost of new debt, we need to calculate the before-tax cost of debt and adjust it for taxes:

Before-tax cost of debt = coupon payment / proceeds from new issue = $2.955 million / $26.514 million = 11.15%

After-tax cost of debt = before-tax cost of debt x (1 - tax rate) = 11.15% x (1 - 30%) = 7.805%

The discount rate is equal to the after-tax cost of new debt rounded up to the nearest whole percent, which is 8%.

Using the discount rate of 8%, we can calculate the present value of the cash flows from the new issue:

PV = C x (1 - (1 + r)-n)/r + F/(1 + r)n

Where:

PV = present value

C = coupon payment

r = discount rate (8%)

n = number of periods (17 years x 2 semi-annual periods = 34)

F = face value

PV = $27.05 million

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The purpose of the Analyze phase of a Lean Six Sigma project is to… (select the best answer)A. …identify potential causes of the problem, narrow down and prioritize potential causes, and determine the vital few, root causes of the problemB. …identify potential causes of the problem and narrow down this listC. …determine the vital few, root causes of the problemD. …identify the cause(s) of the problem

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The purpose of the Analyze phase of a Lean Six Sigma project is to "identify potential causes of the problem, narrow down and prioritize potential causes, and determine the vital few, root causes of the problem" (option A).

Six Sigma is a data-driven and process-focused quality control methodology that aims to identify and eliminate defects or errors in a process. It's a problem-solving strategy that aims to improve the quality of the output by reducing variations and defects.

Six Sigma aims to accomplish this by introducing standardization and reducing waste. Six Sigma follows a disciplined five-step approach to problem-solving called DMAIC (Define, Measure, Analyze, Improve, and Control).

The Analyze phase is the third step in the DMAIC model.The purpose of the Analyze phase of a Lean Six Sigma project is to identify potential causes of the problem, narrow down and prioritize potential causes, and determine the vital few, root causes of the problem.

The Analyze phase aims to determine the factors that contribute to the problem's existence and distinguish between causes and effects. This phase will help the team identify the most important causes, prioritize them, and identify possible solutions.  Thus, option A is the answer.

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Tonya was surprised to learn that her country limited the amount of currency she could convert and take out of the country when she went to America to visit her cousin. This limit is an example of a policy of Blank______. Multiple choice question

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Tonya was surprised to learn that her country limited the amount of currency she could convert and take out of the country when she went to America to visit her cousin. This limit is an example of a policy of capital controls.

Capital controls are measures implemented by governments to restrict the flow of money, particularly foreign currency, in and out of their country. These controls can be in the form of taxes, tariffs, or outright restrictions on currency exchange and transfers.

The purpose of capital controls is to maintain financial stability, protect domestic industries, and manage exchange rates. While they may help achieve these objectives, capital controls can also hinder international trade, limit economic growth, and create market inefficiencies.

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An analysis and aging of the accounts receivable of watts company at december 31 reveal these data:

accounts receivable $2,400,000
allowance for doubtful accounts per books before adjustment (credit) 150,000
amounts expected to become uncollectible 195,000

required:
what is the cash realizable value of the accounts receivable at december 31 after adjustment?

Answers

The cash realizable value of the accounts receivable at December 31 after adjustment is $2,055,000.

To calculate the cash realizable value, we need to adjust the allowance for doubtful accounts to reflect the amounts expected to become uncollectible. This will give us the net realizable value of the accounts receivable.

The adjusted allowance for doubtful accounts is calculated as follows:

Allowance for doubtful accounts after adjustment = Allowance for doubtful accounts before adjustment + Amounts expected to become uncollectible

= $150,000 + $195,000

= $345,000

We need to add this amount back to the accounts receivable to arrive at the net realizable value.

Net realizable value = Accounts receivable - Allowance for doubtful accounts after adjustment

= $2,400,000 - $345,000

= $2,055,000

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Consumers have to make tradeoffs in deciding what to consume because.

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Consumers have to make tradeoffs in deciding what to consume because of the scarcity of resources relative to the unlimited wants and needs that people have.

Consumers have limited income, time, and other resources, so they must prioritize their spending and make choices about what goods and services to consume based on their preferences and available resources.

These tradeoffs are necessary because consumers cannot have everything they want, and every decision to consume one good or service means giving up the opportunity to consume something else. For example, choosing to spend money on a luxury item like a fancy dinner or a new designer outfit means sacrificing the opportunity to save or spend on other goods or services.

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means that investors risk only the amount they choose to invest in a corporation, not all their assets. A. 14th amendment to the U.S. constitution B. business's responsibility for understanding and providing for consumer needs C. caveat emptor D. Compliance E. Consumer Product Safety Commission F. Corporation G. Legal paternalism H. Limited liability I. strict liability J. the due care view K. the producer and consumer

Answers

The term that describes the concept of investors risking only the amount they choose to invest in a corporation, not all their assets, is H. "limited liability."

This means that in the event of a business failure or lawsuit, the investors are only responsible for the amount of money they put into the corporation, and their personal assets are not at risk. Limited liability is a key feature of a corporation, and is often a factor that attracts investors to this type of business structure.

Limited liability is a type of legal structure for an organization where a corporate loss will not exceed the amount invested in a partnership or limited liability company (LLC). In other words, investors' and owners' private assets are not at risk if the company fails.

Limited liability is a legal structure of organizations that limits the extent of an economic loss to assets invested in the organization and that keeps the personal assets of investors and owners off-limits.

Therefore, the correct answer is option H. Limited Liability.

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Number 2 pencils at campus bookstore are sold at a fairly steady rate of 60 per week. The pencils cost the book store 2 cents each and sell for 15cents each. It costs the bookstore $12 to initiate an order, and holding costs are based on an annual interest rate of 25%. A. Determine the optimal order quantity minimizing the annual cost and the optimal order quantity minimizing the weekly cost. Compare and analyze these two order quantities. B. Computes average inventory (I) and average inventory flow time (T). C. The store’s inventory flow time will increase (or decrease) as the annual demand R increases. Explain why?

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A. After performing a cost analysis, it has been determined that the most optimal order quantity for a certain product is 240 units.
B. According to the available data, the average inventory flow time for the store is 3.99 weeks.

C. As the annual demand increases, there will be a corresponding increase in the store's inventory flow time, meaning it will take longer for products to move from the point of arrival to the point of sale, potentially resulting in decreased efficiency and customer satisfaction.

A.

To determine the optimal order quantity that minimizes the annual cost, we can use the Economic Order Quantity (EOQ) formula:

[tex]$$ EOQ = \sqrt{\frac{2DS}{H}} $$[/tex]

Where [tex]$D$[/tex] is the annual demand ([tex]$60 \times 52 = 3120$[/tex]), [tex]$S$[/tex] is the cost per order [tex](\$12[/tex]), and [tex]$H$[/tex] is the holding cost (25% of the item cost, or [tex]$0.25 \times 2$[/tex] cents[tex]$= 0.5$[/tex] cents).

Plugging in the values, we get:

[tex]$$ EOQ = \sqrt{\frac{2 \times 3120 \times 12}{0.005}} = 239.29 $$[/tex]

Therefore, the optimal order quantity that minimizes the annual cost is 239.29, which we can round up to 240.

To determine the optimal order quantity that minimizes the weekly cost, we can use the reorder point formula:

[tex]$$ ROP = dL + \sqrt{d^2L^2 + \frac{2DS}{H}} $$[/tex]

Where [tex]$d$[/tex] is the weekly demand (60),[tex]$L$[/tex]is the lead time (the time it takes to receive an order, assumed to be 0), [tex]$S$[/tex] is the cost per order [tex](\$12)[/tex], and [tex]$H$[/tex] is the holding cost (25% of the item cost, or 0.5 cents).

Plugging in the values, we get:

[tex]$$ ROP = 60 \times 0 + \sqrt{60^2 \times 0^2 + \frac{2 \times 12 \times 3120}{0.005}} = 240 $$[/tex]

Therefore, the optimal order quantity that minimizes the weekly cost is also 240.

Comparing these two order quantities, we see that they are the same. This is because the holding cost and the order cost are proportional, so the EOQ and the ROP will be the same.

B.

The average inventory is 3.99 Weeks.

The average inventory[tex]($I$)[/tex] can be calculated using the EOQ formula:

[tex]$$ I = \frac{EOQ}{2} = \frac{239.29}{2} = 119.64 $$[/tex]

The average inventory flow time [tex]($T$)[/tex] can be calculated as:

[tex]$$ T =[/tex][tex]\frac{EOQ}{d} = \frac{239.29}{60} = 3.99 \text{ weeks} $$[/tex]

C.

The store's inventory flow time will increase as the annual demand [tex]($R$)[/tex]increases. This is because the reorder point (ROP) is calculated based on the demand, and the higher the demand, the more frequently the store will need to reorder. This will increase the lead time and therefore the inventory flow time. Additionally, a higher demand may require a higher order quantity, which will also increase the inventory flow time.

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when inflation falls, people question 2 options: make less frequent trips to the bank and firms make less frequent price changes. make less frequent trips to the bank while firms make more frequent price changes. make more frequent trips to the bank while firms make less frequent price changes. make more frequent trips to the bank and firms make more frequent price changes.

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When inflation falls, people may question whether to make less frequent trips to the bank or whether firms should make less frequent price changes. Inflation refers to the increase in the prices of goods and services over time, leading to a decrease in the purchasing power of money.

When inflation falls, it means that prices are increasing at a slower rate, and there is less pressure on individuals and firms to adjust their behaviors.
One option for individuals when inflation falls is to make less frequent trips to the bank. When inflation is high, people tend to make more frequent trips to the bank to withdraw money to keep up with the rising prices. However, when inflation falls, there is less need to withdraw money, and people may choose to make fewer trips to the bank.
On the other hand, firms may decide to make less frequent price changes when inflation falls. Inflation often leads to firms raising prices to maintain their profit margins. However, when inflation falls, firms may not need to raise prices as frequently to maintain their profit margins. Therefore, they may choose to make fewer price changes.
Overall, when inflation falls, people may choose to make less frequent trips to the bank, and firms may make less frequent price changes. However, it is important to note that this is not always the case, as other factors can influence individual and firm behavior. For instance, firms may choose to make more frequent price changes to stay competitive in the market or to adjust for changes in production costs. Similarly, individuals may need to withdraw money from the bank for other reasons unrelated to inflation.

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You are given a dataset about number of products manufactured in two factories, a and b. you are asked to look into the data and choose which company outperforms the other one. the dataset contains the number of manufactured products per day in each factory. your data contains  year of information. what approach will you select? you are given a dataset about number of products manufactured in two factories, a and b. you are asked to look into the data and choose which company outperforms the other one. the dataset contains the number of manufactured products per day in each factory. your data contains  year of information. what approach will you select?​

Answers

By following these steps, you can choose which factory outperforms the other based on the dataset provided.

1. Organize the dataset

2. Calculate the total products

3. Calculate the average daily production

4. Compare the performance

To determine which factory outperforms the other using a dataset containing the number of products manufactured per day in each factory over a year, follow these steps:

Step 1:  Ensure that the dataset is properly structured, with columns for factory (A and B), date, and the number of products manufactured per day.

Step 2: Find the sum of the number of products manufactured by each factory over the year by adding the daily production numbers.

Step 3: Divide the total number of products manufactured by each factory by the total number of days in the dataset (e.g., 365 days).

Step 4: Compare the average daily production numbers for Factory A and Factory B.

The factory with the higher average daily production outperforms the other.

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The income statement for the apple-jack partnership for the year ended december 31, 20x5, follows: apple-jack partnership income statement for the year ended december 31, 20x5 net sales $ 300,000 cost of goods sold (190,000 ) gross margin $ 110,000 operating expenses (30,000 ) net income $ 80,000 additional information for 20x5 apple began the year with a capital balance of $40,800. Jack began the year with a capital balance of $112,000. On april 1, apple invested an additional $15,000 into the partnership. On august 1, jack invested an additional $20,000 into the partnership. Throughout 20x5, each partner withdrew $400 per week in anticipation of partnership net income. The partners agreed that these withdrawals are not to be included in the computation of average capital balances for purposes of income distributions. Apple and jack have agreed to distribute partnership net income according to the following plan: apple jack 1. Interest on average capital balances 6 % 6 % 2. Bonus on net income before the bonus but after interest on average capital balances 10 % 3. Salaries $ 25,000 $ 30,000 4. Residual (if positive) 70 % 30 % residual (if negative) 50 % 50 % required: a. Prepare a schedule that discloses the distribution of partnership net income for 20x5. (do not round intermediate calculations. Round your final answers to nearest whole dollar. Amounts that are to be deducted from an individual partner's capital balance should be entered with a minus sign. )

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The distribution of partnership net income for 20x5 is $40,339 for Apple and $39,661 for Jack.

This distribution includes interest on average capital balances, bonuses, salaries, and residual income allocated based on their respective ownership percentages.

The schedule that discloses the distribution of partnership net income for Apple-Jack Partnership for 20x5 as required:

1. Calculate average capital balances:
Apple:
Beginning balance: $40,800
Additional investment on April 1: $15,000
Average capital balance: ($40,800 + $15,000/2) = $48,300

Jack:
Beginning balance: $112,000
Additional investment on August 1: $20,000
Average capital balance: ($112,000 + $20,000/2) = $122,000

2. Calculate interest on average capital balances:
Apple: $48,300 * 6% = $2,898
Jack: $122,000 * 6% = $7,320

3. Calculate bonus on net income (before bonus but after interest):
Net income after interest: $80,000 - ($2,898 + $7,320) = $69,782
Apple's bonus: $69,782 * 10% = $6,978

4. Calculate the residual income:
Total income allocated (interest + salaries + bonus): $2,898 + $7,320 + $6,978 + $25,000 + $30,000 = $72,196
Residual income: $80,000 - $72,196 = $7,804

Residual distribution:
Apple: $7,804 * 70% = $5,463
Jack: $7,804 * 30% = $2,341

Distribution of partnership net income for 20x5:

Apple:
- Interest: $2,898
- Bonus: $6,978
- Salary: $25,000
- Residual: $5,463
Total: $40,339

Jack:
- Interest: $7,320
- Bonus: $0
- Salary: $30,000
- Residual: $2,341
Total: $39,661

The distribution of partnership net income for 20x5 is $40,339 for Apple and $39,661 for Jack.

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The Rustic Welt Company is proposing to replace its old welt-making machinery with more modern equipment. The new equipment costs $10. 1 million (the existing equipment has zero salvage value). The attraction of the new machinery is that it is expected to cut manufacturing costs from their current level of $9. 10 a welt to $5. 10. However, as the following table shows, there is some uncertainty about both the future sales and the performance of the new machinery:

Pessimistic Expected Optimistic

Sales (million welts) 1. 5 1. 6 1. 8 Manufacturing cost ($ per welt) 7. 10 5. 10 4. 10 Life of new machinery (years) 5 8 11

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The Rustic Welt Company is considering replacing its old welt-making machinery with more modern equipment to improve efficiency and reduce manufacturing costs.

The new equipment has a cost of $10.1 million, while the existing machinery has zero salvage value. The expected benefits of the new machinery include a decrease in manufacturing costs from the current $9.10 per welt to $5.10 per welt. However, there is uncertainty surrounding future sales and the performance of the new machinery.

Three scenarios have been presented: Pessimistic, Expected, and Optimistic. In the Pessimistic scenario, sales are estimated at 1.5 million welts, and the manufacturing cost per welt is $7.10. The machinery's life expectancy is 5 years. In the Expected scenario, sales are estimated at 1.6 million welts, and the manufacturing cost per welt is $5.10. The machinery's life expectancy is 8 years. Lastly, in the Optimistic scenario, sales are estimated at 1.8 million welts, and the manufacturing cost per welt is $4.10. The machinery's life expectancy is 11 years.

The company must weigh the potential benefits of the new machinery against the uncertainties in sales and performance. By analyzing each scenario, they can make a more informed decision about whether to invest in the new equipment.

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Circle the expression(s) equivalent to 42 divided by the sum of 2/3 and 3/4 (2/3+3/4) divided by 42 (42 divided by 2/3) + 3/4 42 divided by (2/3+3/4) 42/ 2/3+3/4

Answers

The expression equivalent to 42 divided by the sum of 2/3 and 3/4 (2/3+3/4) divided by 42 is 23/4.  

Expressions that are equivalent do the same thing even when they have distinct appearances. When we enter the same value for the variable, two algebraic expressions that are equivalent have the same value.

The equivalent expressions for the specified algebraic expression are shown by the Equivalent Expression Calculator, a free online application. The computations and simplification are expedited by BYJU's online equivalent expression calculator tool, which also quickly shows the equivalent phrase.

The expression equivalent to 42 divided by the sum of 2/3 and 3/4 (2/3+3/4) divided by 42 is:

42/2/3 + 3/4 = 23/4

Therefore, the expression equivalent to 42 divided by the sum of 2/3 and 3/4 (2/3+3/4) divided by 42 is 23/4.  

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discuss(150-250words) As one of the largest and most advanced countries in the world, the United States would not really benefit from trading with smaller, less developed countries. This is because the United States has the capacity to produce essentially all products in larger volumes than these countries. So in absolute terms, the United States has a larger production capacity and would only benefit from trading with other countries that can produce a certain product in higher volumes than it does.

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Although United States has the capacity to produce essentially all products in larger volumes than less developed countries, it can be still beneficial to trade with smaller, less developed countries for several reasons such as comparative advantage, access to unique resources, diversification, expansion of markets, and promoting development and international relations.

In absolute terms, the United States has a larger production capacity and would only benefit from trading with other countries that can produce a certain product in higher volumes than it does. As one of the largest and most advanced countries in the world, the United States would not really benefit from trading with smaller, less developed countries. This is because the United States has the capacity to produce essentially all products in larger volumes than these countries.

Absolute advantage refers to a country's ability to produce more goods and services than another country using the same amount of resources. A country with an absolute advantage can produce a product using fewer resources than another country. This is one of the concepts that a country must comprehend before embarking on international trade.

However, the United States can still benefit from trading with smaller, less developed countries for several reasons:

1. Comparative advantage: Even if the US has a larger production capacity in absolute terms, it doesn't mean it can produce all products efficiently. Smaller countries may have a comparative advantage in producing certain goods at a lower opportunity cost, making it beneficial for both parties to trade.

2. Access to unique resources: Some smaller countries may possess unique natural resources, agricultural products, or specialized knowledge that the US does not have. By trading with these countries, the US can access these resources and enhance its economy.

3. Diversification: Trading with smaller countries allows the US to diversify its economic portfolio and reduce dependence on specific countries or regions. This can help to mitigate potential risks arising from geopolitical issues or economic downturns in certain areas.

4. Expansion of markets: Trading with smaller, less developed countries opens up new markets for American goods and services, creating opportunities for growth and increased demand for US products.

5. Promoting development and international relations: Engaging in trade with less developed countries can help promote economic development and improve living standards in those countries. This can also foster stronger international relations and cooperation between the US and these countries.

In conclusion, despite the United States' larger production capacity, it can still benefit from trading with smaller, less developed countries due to comparative advantage, access to unique resources, diversification, expansion of markets, and promoting development and international relations.

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Which of the following is not true concerning the usage of public land. a. public land is managed by federal and state agencies. b. unprotected lands exist inside federal parks. c. public land can be protected or unprotected. d. wilderness areas and state parks are protected. please select the best answer from the choices provided a b c d

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The statement that is not true concerning the usage of public land is unprotected lands exist inside federal parks. The correct option is b.

The correct answer to the question is "b. unprotected lands exist inside federal parks." This statement is not entirely true since all lands inside federal parks are protected by law. Public lands can either be protected or unprotected, and they are managed by federal and state agencies. Wilderness areas and state parks are examples of protected public lands. Unprotected public lands, on the other hand, are open to commercial and recreational uses such as mining, grazing, and hunting. The management of public lands is essential to ensure that they are used sustainably and for the benefit of all.

The federal government and state agencies have various management practices in place to regulate the use of public lands, including zoning, permits, and conservation easements. Public lands are crucial to maintaining biodiversity, conserving natural resources, and providing opportunities for recreation, education, and scientific research. Protecting and managing public lands is crucial to ensure their long-term conservation and sustainable use for future generations. The correct option is b. unprotected lands exist inside federal parks.

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Amarindo, Inc. (AMR), is a newly public firm with 9. 5 million shares outstanding. You are doing a valuation analysis of AMR. You estimate its free cash flow in the coming year to be $14. 73 million, and you expect the firm's free cash flows to grow by 4. 4% per year in subsequent years. Because the firm has only been listed on the stock exchange for a short time, you do not have an accurate assessment of AMR's equity beta. However, you do have beta data for UAL, another firm in the same industry:. AMR has a much lower debt-equity ratio of 0. 42, which is expected to remain stable, and its debt is risk free. AMR's corporate tax rate is 20%, the risk-free rate is 4. 6%, and the expected return on the market portfolio is 11. 2%. A. Estimate AMR's equity cost of capital. B. Estimate AMR's share price.

Equity Beta Debt Beta Debt-Equity Ratio

UAL 2. 10 0. 42 1. 4

Answers

A. To estimate AMR's equity cost of capital, we can use the capital asset pricing model (CAPM):

r_e = r_f + β_e(r_m - r_f)

where r_e is the required return on equity, r_f is the risk-free rate, β_e is the equity beta, and (r_m - r_f) is the market risk premium.

Since we do not have an accurate assessment of AMR's equity beta, we can use UAL's equity beta as a proxy. Therefore, we have:

β_e = β_u / (1 + (1 - t)(D/E))

where β_u is UAL's unlevered beta, D/E is AMR's debt-equity ratio, and t is the corporate tax rate.

From the information given, we have:

β_u = 2.10
D/E = 0.42
t = 0.20

Substituting these values, we get:

β_e = 2.10 / (1 + (1 - 0.20)(0.42)) = 1.38

Now, we can use the CAPM equation to estimate AMR's equity cost of capital:

r_e = 4.6% + 1.38(11.2% - 4.6%) = 13.75%

Therefore, AMR's equity cost of capital is approximately 13.75%.

B. To estimate AMR's share price, we can use the discounted cash flow (DCF) approach:

V_0 = FCF_1 / (r_e - g)

where V_0 is the present value of the firm's free cash flows, FCF_1 is the estimated free cash flow in the coming year, r_e is the equity cost of capital, and g is the expected growth rate of free cash flows.

From the information given, we have:

FCF_1 = $14.73 million
r_e = 13.75%
g = 4.4%

Substituting these values, we get:

V_0 = $14.73 million / (13.75% - 4.4%) = $153.46 million

Since AMR has 9.5 million shares outstanding, we can calculate the share price as:

Share price = V_0 / Number of shares = $153.46 million / 9.5 million = $16.13

Therefore, AMR's estimated share price is $16.13.

av activity where team members individually estimate user stories through the use of numbered cards followed by discussion until consensus is achieved is best described as .an. ideal estimatingb. fibonacci estimatingc. wideband delphi methodd. planning poker

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AV activity where team members individually estimate user stories through the use of numbered cards followed by discussion until consensus is achieved is best described as planning poker. So the option d is correct.

Planning poker is an agile estimation technique used to help teams estimate the effort required to implement a user story. It is commonly used in Scrum teams and is based on the Wideband Delphi technique. In this activity, each team member is given a deck of cards with values such as 1, 2, 5, 10, 20, 50, 100, and ? (for "unknown").

Each team member is then asked to simultaneously estimate the user story by choosing a card from their deck, representing the estimated amount of effort they think the user story will require. After all team members have chosen a card, they discuss their choice and come to a consensus as to the estimated effort required for the user story.

Planning poker helps teams come to a consensus and accurately estimate the effort required for user stories. This helps teams better plan their sprints, allocate resources, and prioritize tasks. So the option d is correct.

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The complete question is:

AV activity where team members individually estimate user stories through the use of numbered cards followed by discussion until consensus is achieved is best described as .

a. ideal estimating

b. Fibonacci estimating

c. wideband Delphi method

d. planning poker

Drag each scenario to the correct strategy for delivering a negative message.

a company wants to inform a
long-term vendor that its
services are failing to
meet quality standards.

a condominium manager is
sending the sixth reminder
to a resident to pay her dues.

a hospital must inform its staff that
it is closing.

a web security firm has to alert a
client about a security breach.

an airline has to downgrade a
passenger's booking from first
class at short notice.

a dairy company must notify
customers about a 1 percent
price increase.
direct strategy or indirect strategy

Answers

Company informing a long-term vendor that its services are failing to meet quality standards - Direct strategy. Condominium manager sending the sixth reminder to a resident to pay her dues - Indirect strategy. Hospital informing its staff that it is closing - Direct strategy. Web security firm alerting a client about a security breach - Direct strategy. Airline downgrading a passenger's booking from first class at short notice - Indirect strategy.

Dairy company notifying customers about a 1 percent price increase - Indirect strategy.
1. A company wants to inform a long-term vendor that its services are failing to meet quality standards.
  - Strategy: Indirect strategy (since it's a long-term relationship, using a more gentle approach would be better)

2. A condominium manager is sending the sixth reminder to a resident to pay her dues.
  - Strategy: Direct strategy (the message has been delivered multiple times, and it's time to be straightforward)

3. A hospital must inform its staff that it is closing.
  - Strategy: Indirect strategy (breaking such serious news gently would be more appropriate)

4. A web security firm has to alert a client about a security breach.
  - Strategy: Direct strategy (it's crucial to convey the urgency of the situation)

5. An airline has to downgrade a passenger's booking from first class at short notice.
  - Strategy: Indirect strategy (it's a negative change for the customer, so a gentler approach would be better)

6. A dairy company must notify customers about a 1 percent price increase.
  - Strategy: Direct strategy (the increase is small, so being direct and concise should suffice)

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the new machine has a purchase price of $1,170,000, an estimated useful life and macrs class life of 5 years, and an estimated salvage value of $105,000. the applicable depreciation rates are 20.00%, 32.00%, 19.20%, 11.52%, 11.52%, and 5.76%. being highly efficient, it is expected to economize on electric power usage, labor, and repair costs, and, most importantly, to reduce the number of defective chickens. in total, an annual savings of $245,000 will be realized if the new machine is installed. the company's marginal tax rate is 35% and the project cost of capital is 16%. what is the initial net cash flow if the new machine is purchased and the old one is replaced? round your answer to the nearest dollar. $

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If the new machine has a purchase price of $1,170,000, an estimated useful life and macrs class life of 5 years, the initial net cash flow is -$180,590.

The initial net cash flow is the difference between the initial investment required to purchase the new machine and the present value of the expected annual savings over the useful life of the machine.

In this case, the initial investment is the purchase price of the new machine minus the estimated salvage value, which equals $1,065,000 ($1,170,000 - $105,000).

To calculate the present value of the expected annual savings, we need to use the cost of capital, which is 16%. We can use the formula for present value of an annuity to find the present value of the annual savings.

PV = C x ((1 - (1 + r)^-n) / r)

Where:

C = Annual savings = $245,000

r = Discount rate = 16%

n = Number of years = 5

Plugging in the values, we get:

PV = $245,000 x ((1 - (1 + 0.16)^-5) / 0.16)

PV = $884,410

Therefore, the initial net cash flow is:

Initial Net Cash Flow = -$1,065,000 + $884,410

Initial Net Cash Flow = -$180,590

The negative sign indicates that there is an initial cash outflow required to purchase the new machine. This means that the company will have to invest $180,590 upfront to replace the old machine with the new one.

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production of pizza workers output (q) total cost average cost marginal cost 0 0 $200 --- --- 1 20 $300 15.00 5.00 2 50 $400 8.00 3.33 3 90 $500 5.56 4 120 $600 5.00 3.33 5 140 $700 5.00 5.00 6 150 $800 5.33 10.00 7 155 $900 5.81 20.00 where are costs minimized? group of answer choices 5 workers 3 workers 6 workers 4 workers

Answers

The point where costs are minimized is at 4 workers, as this is where the average cost is minimized, and the marginal cost is still relatively low. Option D is correct.

To determine where costs are minimized, we need to find the point where marginal cost (MC) equals average cost (AC).

Looking at the table provided, we can see that the marginal cost is lowest at 3 workers, where it is $4. This is lower than the marginal cost at 4 workers ($5), and at 5 workers, the marginal cost jumps up to $10.

The average cost is lowest at 4 workers, where it is $5 per unit. At 3 workers, the average cost is slightly higher at $5.56 per unit, and at 5 workers, it is the same as the marginal cost at $5 per unit.

Hence, D. is the correct option.

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--The given question is incomplete, the complete question is

"Production of pizza workers output (q) total cost average cost marginal cost 0 0 $200 --- --- 1 20 $300 15.00 5.00 2 50 $400 8.00 3.33 3 90 $500 5.56 4 120 $600 5.00 3.33 5 140 $700 5.00 5.00 6 150 $800 5.33 10.00 7 155 $900 5.81 20.00 where are costs minimized? group of answer choices A) 5 workers B) 3 workers C) 6 workers D) 4 workers."--

the czech republic has a gdp of 4,000 billion koruna. the exchange rate is 20 koruna per u.s. dollar. the czech population is 20 million. calculate the per capita gdp of the czech republic in u.s. dollars. group of answer choices $10,000

Answers

To calculate the per capita GDP of the Czech Republic in U.S. dollars, we need to convert the GDP from koruna to dollars and then divide by the population.

First, we need to convert the GDP from koruna to dollars using the exchange rate of 20 koruna per U.S. dollar.

4,000 billion koruna ÷ 20 koruna per U.S. dollar = $200 billion U.S. dollars.Now that we have the GDP in U.S. dollars, we can calculate the per capita GDP by dividing it by the population. $200 billion U.S. dollars ÷ 20 million people = $10,000 U.S. dollars per capita

Therefore, the per capita GDP of the Czech Republic in U.S. dollars is $10,000. This means that on average, each person in the Czech Republic produces and earns $10,000 worth of goods and services in a year.

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in balancing its responsibilities toward all stakeholders when making legal, economic, ethical, and social decisions, abc inc. takes an approach to organizational activities called . fiduciary responsibility community involvement corporate social responsibility corporate ethics

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In balancing its responsibilities toward all stakeholders when making legal, economic, ethical, and social decisions, ABC inc. takes an approach to organizational activities called Corporate Social Responsibility. So the option C is correct.

Corporate Social Responsibility (CSR) is the process by which a company aligns its values and actions with those of its stakeholders. It seeks to ensure that its activities are conducted in a way that respects and benefits society, environment, and the economy.

CSR activities can include philanthropic initiatives such as donating to charities, investing in environmentally responsible practices, supporting diversity and inclusion, and promoting ethical labor standards. CSR also encompasses the company’s commitment to responsible corporate governance and transparency in its activities.

CSR has become increasingly important for businesses as customers, investors, and regulators have begun to prioritize companies that demonstrate a commitment to social responsibility. So the option C is correct.

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The complete question is:

In balancing its responsibilities toward all stakeholders when making legal, economic, ethical, and social decisions, abc inc. takes an approach to organizational activities called .

A. fiduciary responsibility

B. community involvement

C. corporate social responsibility

D. corporate ethics

According to the moral choices textbook, what is the dominant cultural ideology calling into
question the christian view about moral knowledge?

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According to the moral choices textbook, the dominant cultural ideology that is calling into question the Christian view about moral knowledge is relativism. Relativism holds that moral truths are subjective and dependent on individual or cultural perspectives, rather than being objectively true and universally applicable. This challenges the Christian view of moral knowledge, which asserts that moral truths are revealed by God and are absolute and objective. Christians believe that moral knowledge is based on the teachings of the Bible and the guidance of the Holy Spirit, whereas relativism sees morality as a matter of personal opinion or cultural convention.

This perspective challenges the Christian view that moral knowledge is based on absolute and universal principles, as described in the Bible and Christian tradition. Christians believe that moral truths are grounded in the character of God and are therefore objective and unchanging, regardless of cultural or individual differences. Moral relativism, on the other hand, suggests that there are no objective moral standards that apply to everyone, and that each individual must determine what is right or wrong based on their own experiences and perspectives.

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A company reported the following information for Year 1:


Net income $34,000


Owner contribution 9,000


Deferred gain on a highly effective cash-flow hedge 8,000


Foreign currency translation gain 2,000


Prior service cost not recognized in net periodic pension cost 5,000


What is the amount of other comprehensive income for Year 1?


A) $43,000


B) $5,000


C) $14,000


D) $15,000

Answers

The amount of other comprehensive income for Year 1 can be calculated by adding up the deferred gain on a highly effective cash-flow hedge, foreign currency translation gain, and prior service cost not recognized in net periodic pension cost. Therefore, the amount of other comprehensive income for Year 1 would be $15,000 (8,000 + 2,000 + 5,000).

Net income and owner contribution do not contribute to other comprehensive income, as they are part of the company's overall financial performance for the year. Other comprehensive income includes gains and losses that are not part of the company's regular business operations, such as those resulting from changes in the value of investments or fluctuations in foreign currency exchange rates.

It's important to note that other comprehensive income is reported separately from net income on a company's financial statements. This is because it represents gains and losses that are not directly related to the company's ongoing operations and may not be reflective of its long-term financial health. However, it still provides valuable information to investors and stakeholders who are interested in understanding the full scope of a company's financial performance.

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Purchased a $171,500 machine on January 1 of this year for $34,300 cash. A five-year note is signed for the balance. The note will be paid in five equal year-end payments starting on December 31 of this year. Rev: 04_08_2019_QC_CS-165140 Required: 1. In transaction (a), determine the present value of the debt. (Round your answer to nearest whole dollar. )

Answers

To determine the present value of the debt, we need to use the present value formula:

Present value = Future value / (1 + r)^n

where r is the interest rate and n is the number of periods.

In this case, the future value of the debt is $171,500 - $34,300 = $137,200, which is the amount financed by the note. The interest rate is not given, so we will assume it to be 6% per year.

The note will be paid in five equal year-end payments, so n = 5. The present value of the debt as of January 1 of this year is:

Present value = $137,200 / (1 + 6%)^5
Present value = $99,646

Therefore, the present value of the debt as of January 1 of this year is $99,646.

assuming no beginning work-in-process (bwip) inventory, and that the ending work-in-process (ewip) inventory is 50% complete as to conversion costs, the number of equivalent units as to conversion costs would be

Answers

Assuming no beginning work-in-process inventory and 50% completion for ending work-in-process inventory, the number of equivalent units as to conversion costs can be calculated by accounting for both completed and partially completed units and adding them together.

To determine the number of equivalent units as to conversion costs, we first need to understand what conversion costs are. Conversion costs refer to the costs incurred during the production process, such as labor and overhead costs.
Assuming no beginning work-in-process inventory, it means that we are starting the production process from scratch.

Therefore, we need to take into account the units started and completed during the period.
Since the ending work-in-process inventory is 50% complete as to conversion costs, we need to account for the partially completed units as well.

This means that we need to calculate the equivalent units of production for both completed and partially completed units.
To calculate the equivalent units, we need to multiply the number of units by the percentage of completion for each process. For example, if we have 1,000 units in the production process and 900 units are completed, we would have 900 equivalent units as to conversion costs for the completed units.

If the remaining 100 units are 50% complete, we would have 50 equivalent units as to conversion costs for the partially completed units.
Once we have calculated the equivalent units for each process, we can add them together to get the total equivalent units as to conversion costs. This will give us a better understanding of the actual production costs incurred during the period.

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Please analyze the factors affecting the petroleum market of vietnam from january 2021 until now?

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The factors affecting the petroleum market of vietnam from january 2021 until now is Global oil prices, COVID-19 pandemic, Domestic production, Exchange rate fluctuations, Government policies.

Here are the key factors to consider:
1. Global oil prices: The petroleum market of Vietnam is heavily influenced by fluctuations in global oil prices. From January 2021 until now, we have seen a general upward trend in prices, driven by factors such as the economic recovery from the COVID-19 pandemic and supply constraints from major oil producers.

2. COVID-19 pandemic: The pandemic has had a significant impact on the Vietnamese economy, leading to reduced demand for petroleum products due to lockdowns and travel restrictions. This has affected the overall consumption of petroleum in Vietnam.

3. Domestic production: Vietnam's oil and gas production plays a role in the petroleum market. From January 2021 until now, the country has experienced a decline in production due to the natural depletion of reserves and a lack of new discoveries, which can affect the market dynamics.

4. Exchange rate fluctuations: The Vietnamese dong's exchange rate can influence the petroleum market, as changes in the currency's value can impact the prices of imported petroleum products.

5. Government policies: The Vietnamese government has implemented policies that affect the petroleum market, such as fuel price stabilization funds and taxes. These policies can either encourage or hinder the growth of the petroleum market, depending on their implementation and effectiveness.

In conclusion, the petroleum market of Vietnam from January 2021 until now has been influenced by factors such as global oil prices, the COVID-19 pandemic, domestic production, exchange rate fluctuations, and government policies. These factors have contributed to the changes in the market and will continue to play a role in shaping its future.

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Limitations and applicability of organizational behaviour model

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Organizational behavior (OB) models are valuable tools for understanding and managing human behavior in the workplace. However, there are some limitations and applicability factors to consider when using them.

One limitation of OB models is that they are based on generalizations and may not perfectly capture the unique characteristics of a specific organization. Organizations differ in terms of size, industry, and culture, which may impact the applicability of a particular model. Managers should therefore adapt and customize these models to their specific context for better results.

Another limitation is that OB models typically focus on observable behaviors, neglecting the influence of individual personalities and emotions. This may lead to an incomplete understanding of employee behavior and limit the effectiveness of interventions aimed at improving workplace performance.

Moreover, OB models often emphasize the role of the organization's structure and systems, potentially underestimating the importance of individual motivation, personal values, and beliefs. For this reason, an effective OB model should also take into account the psychological factors that drive employee behavior.

Regarding the applicability of OB models, they are most useful in situations where there is a need to understand and manage human behavior within the organization. This includes employee recruitment and selection, performance management, team-building, leadership development, and organizational change.

In conclusion, organizational behavior models can offer valuable insights into the dynamics of human behavior in the workplace. However, it is crucial to recognize their limitations and adapt them to the specific context of the organization. By doing so, managers can optimize the applicability of these models and improve overall organizational performance.

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