Parkway Void Co. issued 16-year bonds two years ago at a coupon rate of 8.5 percent. The bonds make semiannual payments. If these bonds currently sell for 109 percent of par value, what is the YTM? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)

Answers

Answer 1

Answer:

The annual YTM will be = 0.07518796992 or 7.518796992% rounded off to 7.52%

Explanation:

The yield to maturity or YTM is the yield or return that an investor can earn on the bond if the bond is purchased today and is held till the bond matures. The formula to calculate the Yield to maturity of a bond is as follows,

YTM = [ ( C + (F - P / n))  /  (F + P / 2) ]

Where,

C is the coupon payment

F is the Face value of the bond

P is the current value of the bond

n is the number of years to maturity

Lets assume the par value is 1000.

Current value = 1000 * 109% = 1090

Coupon payment = 1000 * 0.085 * 6/12 = 42.5

Number of periods remaining till maturity = 14 * 2 = 28

semi annual YTM = [ (42.5 + (1000 - 1090 / 28))  /  (1000 + 1090 / 2)

semi annual YTM = 0.03759398496 or 3.759398496% rounded off to 3.76%

The annual YTM will be = 0.03759398496 * 2 = 0.07518796992 or 7.518796992% rounded off to 7.52%


Related Questions

How has the use of computers impacted the role of accountants?

Answers

Answer: IT networks and computer systems have shortened the time needed by accountants to prepare and present financial information to management. This system allows companies to create individual reports quickly and easily for management decision making.

Answer:

it's made there job much easier because everything they need is in one place

Explanation:

can I have brainliest I'm trying to level up

How can you become more like Fiji Water in life? Chapter 2, Lesson 1

Answers

Answer:

To be pure is to be yourself when it comes to fighting sin, and listening to what you believe is right over the devil instead. And to be pure is to be yourself when it comes to love, to discover the true placement of your heart, and to love the way you want to out loud, shameless.

Explanation:

Fiji water is pure so I said this. Hope this helps.

which dod or dod affiated organization has successfully completed a customer relationship management concept

Answers

Answer: Defense logistics agency

Explanation:

Defense logistics agency, Due to the nature of what they; managing global supply chain – from raw materials to end user to disposition for the armed forces such as Navy, Army e.t.c.

Their members are mandated to have completed customer relationship management concept, because they would need it in their job roles

Many U.S. firms prefer to sell in Canada, England, and Australia-rather than in larger markets such as Germany and France-because they feel more comfortable with the languages, laws, and culture, which reflect the ________ between these countries and the United States.

a. self-serving bias
b. coincident development
c. psychic proximity
d. cognitive dissonance
e. backward invention

Answers

Answer: psychic proximity

Explanation:

The above scenario in the question reflects the psychic proximity between the countries and the United States.

In international business, psychic proximity simply has to do with the national differences between countries which influences a country's perception towards another country.

Therefore, the correct option is C.

A policy is a specific action to be taken or not to be taken with respect to situation.
Answer
True
False

Answers

Answer:

false

Explanation:

.... I just know .......

The answer should be true I think

During 2022, half of the treasury stock was resold for $240,000; net income was $600,000; cash dividends declared were $1,500,000; and stock dividends declared were $500,000. The 2022 sale of half of the treasury stock would:______________

Answers

Answer:

Total Stockholder's equity = $6,760,000

Explanation:

Note:

Missing content;

Cash dividends = $20,000

Treasury stock = $600,000

Share repurchase = $20,000

Common stock = $4,000,000

Retained earnings = $3,000,000

Computation:

Common stock = $4,000,000+$400,000

Common stock = $4,400,000

Retained earnings = $3,000,000+$600,000-$500,000-$400,000-$40,000 Retained earnings = 2,660,000

Total Stockholder's equity = Common stock + Retained earnings - Treasury Stock

Total Stockholder's equity = $6,760,000

Fenland Co. plans to retire $120 million in bonds in five years, so it wishes to fund a savings account at the beginning of each year during that period for which it expects to earn 12% annually. At the end of the five years, there will be enough money in the account to pay off the bonds. What amount does Fenland need to invest each year?

Answers

Answer:

240,000,000

Explanation:

Each year you would need to invest 240,000,000 into the saving account over a period of five years to get to the desired amount. If they are only putting in 12%of the retirement funds that would 14,400,000 and that would take about 8 years.

If (in one month) I make a total of 10 hours of calls at standard hours, how much more or less will I pay for a Basic contract than for Premium

Answers

Answer:

I make a total of 10 hours of calls at standard hours, how much more or less will I pay for a Basic contract than for Premium is discussed below in detail.

Explanation:

The quantity of hours of free calls in a year is 10.

explanation:

From the provided report it is obvious that for basic understanding the number of hours of available calls in a month is 3.

We understand that 1 year is equivalent to 12 months.

1 year = 12 months.

For the basic contract:

The number of hours of available calls in a month = 3

Using the above transformation, we get

The number of hours of available calls in a year = 3 × 12 = 36

Therefore the number of hours of available calls in a year is 36.

A basic contract can be defined as one in which a user can make use of some features but does not have access to some features which would need additional payment to get access to.

As a result of this, a premium contract can be considered as the plan where all the available options are at the disposal of the user and has a slight edge over a basic contract user.

With this in mind, we can note that the pricing plan of the basic contract would be lower than that of the premium contract.

Please note that you question is incomplete and i gave you a general overview to help you get the right answer

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Chavin Company had the following results during August: net operating income, $250,000; turnover, 5; and return on investment (ROI) 19%. Chavin Company's average operating assets were:_________. A. $50,000 B. $47,500 C. $1,250,000 D. $1,315,789

Answers

Answer: D. $1,315,789

Explanation:

Return on Investment = Net operating income/ Average operating assets

Average return on Assets will therefore be;

= Net Operating Income/ Return on Investment

= 250,000/0.19

= $1,315,789.47

= $1,315,789

If budgeted beginning inventory is $9,150, budgeted ending inventory is $10,420, and budgeted cost of goods sold is $11,110, budgeted purchases should be:

Answers

Answer:

$12,380

Explanation:

The beginning inventory is $9,150

The budgeted ending inventory is $10,420

The cost of goods sold is $11110

Therefore the budgeted purchases can be calculated as follows

= $10,420 + $11,110-$9,150

= $21,530 - $9,150

= $12,380

Hence the budgeted purchases is $12,380

The document that the purchasing department-aã¡-tothe vendor to place an order is called the:________. A. Invoice approval B. Receiving report C. Purchase requisition D. Invoice. E. Purchase order

Answers

Complete Question:

The document that the purchasing department prepares and sends to the vendor to place an order is called the:

Group of answer choices

A. Invoice approval.

B. Receiving report.

C. Purchase requisition.

D. Invoice.

E. Purchase order.

Answer:

E. Purchase order

Explanation:

The document that the purchasing department prepares and sends to the vendor to place an order is called the purchase order.

A purchase order is typically a multi-copy commercial document that is prepared by the buyer who is interested in ordering goods and sent sent to a vendor (supplier) to place an order.

Generally, one copy of the purchase order is sent to the vendor (supplier) of the goods while the other copy is sent to the accounts payable department of the company, so as to enable them compare it with the invoice issued by the vendor or supplier for accuracy and accountability.

Additionally, a purchase order comprises of informations such as quantity of goods being ordered, price, type etc.

The town of Smallsville is considering building a museum. The interest on the money Smallsville will have to borrow to build the museum will be $1,000 per year. Each citizen's marginal benefit from the museum is shown in the following table, and this marginal benefit schedule is public information.
Citizen Marginal benefit from museum ($/year)
Anita…………………………. 340
Brandon…………………………. 290
Carlena…………………………. 240
Dallas…………………………. 190
Eloise…………………………. 140
a. Assuming each citizen voted his or her private interests, would a referendum to build the museum and raise each citizen's annual taxes by $200 pass?
b. A citizen proposes that the city let a private company build the museum and charge the citizens a lump-sum fee each year to view it as much as they like. Only citizens who paid the fee would be allowed to view the museum. If the private company were allowed to set a single fee, would any company offer to build the museum?
c. A second citizen proposes allowing the private company to charge different prices to different citizens and auctioning the right to build the museum to the highest bidding company. Again, only the citizens who pay the fee may view the museum. What is the highest bid a private company would make to supply the museum to Smallsville?

Answers

Answer: See explanation

Explanation:

a. This has been solved and attached.

Note that the net benefits was calculated as:

= Marginal benefit - $200

b. Looking at the table and information provided in the attachment, we would see that no company offer to build the museum because since their cost of $1000 can't be covered by the revenue generated. The highest revenue gotten for the single price monopolist is $760 and this can't even cover their cost.

c. Based on the scenario given in (c), the highest revenue the price discriminating monopolist would make is $1200 and coupled with the fact that the cost is $1000, the maximum bid that a private company would make to supply the museum to Smallsville is $200 ($1200 - $1000)

a. Assuming that each citizen voted their private interests, a referendum to build the museum and raise each citizen's annual taxes by $200 would pass because 3/5 (60%) of the citizens would vote in favor.  They derive more marginal benefit than the head tax increase from the museum project.

b. No company would likely offer to build the museum based on a single lump-sum fee because the marginal benefits derived by the five citizens are not equal nor more than $200 each.  If the private company charges above $140, not all the citizens would be willing to pay.

c. The highest bid a private company would make to supply the museum to Smallsville is $100,000.  This cost is based on a 10% annual interest ($1,000/10% x 10 years) for ten years.

Thus, given the facts of the case, it would be more beneficial for the town of Smallsville to borrow $100,000 to build the museum and raise the annual tax by $200 to enable the citizens to enjoy the services of the museum while the town recovers the investment costs plus interests on the borrowed funds over time.

Data and Calculations:

Cost of Annual Interest Expense = $1,000

Citizens     Marginal        Net                           Accumulated

                   Benefit     Benefit                         Net Benefit

Anita           $340       $140 ($340 - $200)      $140 ($0 + $140)

Brandon     $290        $90 ($290 - $200)     $230 ($140 + $90)

Carlena      $240        $40 ($240 - $200)      $270 ($230 + $40)

Dallas         $190        ($10) ($190 - $200)      $260 ($270 - $10)

Eloise         $140       ($60) ($140 - $200)      $200 ($260 - $60)

Total       $1,200

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WGU can enroll 325 students monthly. However, due to the ratio of availability of enrollment counselors and potential students they can only enroll 266 students. On average, 250 students are in enrolled monthly. In order, what is the design capacity, effective capacity, capacity utilization, and efficiency rate?

a. 325, 250, 77%, 94%
b. 325, 266, 77%, 94%,
c. 250, 266, 77%, 93%
d. 325, 266, 94%, 78%

Answers

Answer:

325, 266, 77%, 94%,

Explanation:

Design capacity = Number of enrollment can be done

Design capacity = 325 student

Effective capacity = Number of enrollment done

Effective capacity = 266

Capacity utilization = [250/325]100

Capacity utilization = 77 % (Approx)

Efficiency rate = [250/266]100

Efficiency rate = 94 % (Approx)

Which advertising medium goes hand-in-hand with newspaper advertising? ads go well with print ads because they remind customers to check for further details in local newspapers.

Answers

Answer:

Printed ads go hand in hand with newspaper advertising because they usually consist of impactful graphical representations of the service or product that is being announced, and they tend to take a significant space of the newspaper page where they are printed.

In fact, printed ads have been the most important financing source for newspapers, until very recently when printed newspapers have been going out of circulation due to low readership, and newspapers companies have been relying more on online advertising and user subscriptions.

Answer: Promotional advertising  

if you could choose anything to be? (must be in essay)​

Answers

Answer:

You can be one of your favorite heros.i.e avengers, marvels, etc. Or u can also choose some famous personalities such as Albert Einstein, Issac Newton, leonardo da vinchi, George Washington, etc

Even give a reason why did u choose them

Maybe that would be because of their contributions or because of their sense of humor. Like that..

Schedule of Cash Collections: Booth Ltd. makes collections on all sales according to the following schedule:

25% in month of sale
75% in month following sale

The following is a list of budgeted sales for the next four quarters:
1st quarter 2nd quarter 3rd quarter 4th quarter
Budgeted Sales $250,000 $240,000 $260,000 $280,000

Required:
Calculate the budgeted cash collections in the 2nd quarter.

Answers

Answer:

$247,500

Explanation:

                         Budgeted cash collection

                                                                      Amount

Cash collected from 2nd quarter sales       $60,000

(240,000*25%)

+ Cash collected from 1st quarter sales      $187,500

(250,000*75%)

Budgeted cash collection in 2nd quarter $247,500

Answer:

B-More products were sold in the 1st quarter than in the 4th quarter.

Explanation:

I got it right on Edge2020

A government decision to privatize a sector of the economy formerly operated by the government is an example of _____ policy.

Answers

Answer:

Structural policy

Explanation:

This is an example of what is known as structural policy.

There are times where the problem of an economy get to be more and also last longer than inadequate demand. This problem can be caused by government policies or sometimes private practices that cause an impediment on the efficient production of goods and Also services. In other to fix a problem such as this, changes have to be made to the economy. Such changes is what is regarded as structural policy.

If a country experienced a natural disaster which wiped out a quarter of its capital stock, what would happen in the long run to its potential GDP?

Answers

Answer:

the options are missing:

a) It would at first fall dramatically and remain below its pre-disaster level indefinitely.

b) The capital stock would remain unaffected and continue on as usual.

c) It would fall in the short-term and then rise back to pre-disaster levels in the long-term.

the correct answer is:  c) It would fall in the short-term and then rise back to pre-disaster levels in the long-term.

Explanation:

When a severe natural disaster hits a country or a region, large portions of its capital stock might be negatively affected, e.g. an earthquake and tsunami hit Japan in 2011 and halted most of the factories in the affected regions. This negative effect lasted for more than 6 months and many car factories couldn't produce normally for almost a year. That included factories in the US and other countries that used Japanese components. But after a year or so, production levels were almost back to normal.

Is the economic model of decision-making intended as a literal description of how individuals, firms, and the governments actually make decisions

Answers

Answer:

The correct response as per the given statement is "No".

Explanation:

No, but the given model has never been the dictionary definition of how transactions or judgments are currently taken by people, organizations, and companies. Economic models allow everybody to differentiate as well as organize complex sequences of underlying causes functionally that unique expression awareness among the target in less than an economy. These were founded on observations and the formation of overly simplistic circumstances.

There is a bond that has a quoted price of 105.957 and a par value of $2,000. The coupon rate is 6.90 percent and the bond matures in 24 years. If the bond makes semiannual coupon payments, what is the effective annual interest rate?

Answers

Answer:

The effective annual interest rate is 7.02%.

Explanation:

The effective annual rate can be computed using the following formula:

EAR = ((1 + (i / n))^n) - 1 .............................(1)

Where;

i = Stated coupon rate = 6.90%, or 0.069

n = Number of compounding periods in a year = 2

Substituting the values into equation (1), we have:

EAR = ((1 + (0.069 / 2))^2) - 1

EAR = 1.07019025 - 1

EAR = 0.07019025, or 7.019025%

Approximating to 2 decimal places, we have:

EAR = 7.02%

Therefore, the effective annual interest rate is 7.02%.

A company had interest expense of $9,000, income before interest expense and income taxes of $20,000, and net income of $10,400. The company's times interest earned ratio equals:_______

Answers

Answer:

2.22 times

Explanation:

Interest earned ratio is computed as;

Interest earned ratio = Earnings before interest and taxes / Total interest payable

Given that;

Earnings before interest and taxes = $20,000

Total interest payable = $9,000

Therefore,

Interest earned ratio = $20,000 / $9,000

Interest earned ratio = 2.22 times

Cyber Security Systems had sales of 3,200 units at $50 per unit last year. The marketing manager projects a 10 percent increase in unit volume sales this year with a 10 percent price increase. Returned merchandise will represent 8 percent of total sales. What is your net dollar sales projection for this year?

Answers

Answer:

$178,112.00

Explanation:

This year sales volume=last year volume*(1+10%)

This year sales volume=3,200*(1+10%)=3520  units

This year's price=last year's price*(1+10%)

This year's price=$50*(1+10%)=$55

Total sales this year=This year sales volume*This year's price

Total sales this year=3520*$55

Total sales this year=$193,600.00  

returned merchandise=$193,600.00*8%

returned merchandise=$15,488.00  

net dollar sales projection for this year =Total sales this year-returned merchandise

net dollar sales projection for this year=$193,600.00-$15,488.00 =$178,112.00  

Suppose Carla has $7000 to invest. Which investment yields the greater return over 4 years: 7% compounded quarterly or 6.85% compounded monthly

Answers

Answer:

The option with the quarterly compounding provides a higher future value.

Explanation:

Giving the following information:

Initial investment= $7,000

Number of years= 4 years

To calculate the future value, we need to use the following formula:

FV= PV*(1+i)^n

Quarterly compounding:

Interest rate (i)= 0.07/4= 0.0175

n= 4*4= 16

FV= 7,000*(1.0175^16)

FV= $9,239.51

Monthly compounding:

i= 0.0685/12= 0.00571

n= 4*12= 48

FV= 7,000*(1.00571^48)

FV= $9,200.07

The option with the quarterly compounding provides a higher future value.

You just deposited $4,000 in cash into a checking account at the local bank. Assume that banks lend out all excess reserves and there are no leaks in the banking system. That is, all money lent by banks gets deposited in the banking system. Round your answers to the nearest dollar.

Required:
a. If the reserve requirement is 16%, how much will your deposit increase the total value of checkable bank deposits?
b. If the reserve requirement is 7%, how much will your deposit increase the total value of checkable bank deposits

Answers

Answer:

$25000

$57142.857

Explanation:

Given that :

Amount deposited = $4000

A.) reserve requirement = 16%

The total value of checkable bank deposit is given by ;

Money multiplier * Amount deposited

Money multiplier = 1 ÷ reserve requirement

Hence ;

(1 / 0.16) * 4000

= 6.25 * 4000 = $25000

B.) Reserve requirement of 7%

Money multiplier * Amount deposited

= (1 ÷ 0.07) * 4000

= $57142.857

What is the meaning of this question

Answers

Answer:

You either want someone to get points or there is no meaning to the quesiton

Explanation:

ummm... common sense :)

E-Eyes just issued some new preferred stock. The issue will pay an annual dividend of $27 in perpetuity, beginning 16 years from now. If the market requires a return of 4.1 percent on this investment, how much does a share of preferred stock cost today?

Answers

Answer:

$360.43

Explanation:

Calculation for how much does a share of preferred stock cost today

First step is for us to calculate the price of the stock in Year 15 which is a year before the first dividend payment.

P15= $27 / .041

P15= $658.54

Last step is to calculate for the price of the stock today

P0= $658.54/ (1+.041)^15

P0= $658.54/ (1.041)^15

P0=$360.43

Therefore the amount that a share of preferred stock cost today will be $360.43

Think of a time when effective or ineffective communication affected your success at home, school, or work.

In paragraph 1, describe what happened, in detail.

In paragraph 2, explain how strong communication contributed to or could have improved the situation’s outcome. Be specific.

Answers

Answer:

Ineffective communication affected my success when I wanted to sell my skincare product to an Asian who did not really have a full grasp of the English language.

Explanation:

I experienced ineffective communication which was caused by a language barrier between me and an Asian woman to whom I wanted to sell a skincare cream. I tried explaining the benefits of the cream to her, but she seemed not to understand what I was saying. At the end of the day, she did not purchase the cream.

In order to sell skincare creams, a person must communicate the full benefits of such cream to a potential buyer since he/she might already have had something he uses before. If the woman had a strong grasp of the English language, it would have been easier for me to convince her to buy the cream as I would have employed persuasive terminologies that would appeal to her.

An example of ineffective communication was when I went to France for vacation and I tried communicating with someone in English but he didn't understand me.

Ineffective communication simply means a form of communication where the receiver can't understand the message and therefore the message wasn't conveyed properly.

An example of ineffective communication was when I went to France for vacation and I tried communicating with someone in English but he didn't understand me.

The communication was ineffective because we were both speaking different languages. It'll have been effective if we spoke the same language.

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Sheridan Company reports the following information (in millions) during a recent year: net sales, $17,371.2; net earnings, $481.6; total assets, ending, $6,899.2; and total assets, beginning, $6,806.4. Calculate the (1) return on assets, (2) asset turnover, and (3) profit margin ratios. (Round answers to 1 decimal place, e.g. 15.2% or 15.1.)

Answers

Answer and Explanation:

The computation is shown below:

As we know that

1. Return on assets is

= Net income ÷ avg total assets

where,

Avg total assets is

= (opening total assets + closing total assets) ÷ 2

= ($6,806.4 + $6,899.2) ÷ 2

= $6,852.8

Now return on asset is

= $481.6 ÷ $6,852.8

= 7.0%

2.  Assets turnover ratio = net sales ÷ avg total assets

= $17,371.2 ÷ $6,852.8

= 2.5 times

3.  Profit margin = net income ÷net sales

= $481.6 ÷ $17,371.2

= 2.8%

% interest compounded annually until Bob retires on his 65th birthday. How much is the IRA worth when Bob retires

Answers

Answer:

The worth of the IRA when Bob retires at 65 is $190,706.57.

Explanation:

Note: This question is not complete. The complete question is therefore provided before answering the question as follows:

Bob makes his first $1,200 deposit into an IRA earning 6.5% compounded annually on the day he turns 24 and his last $1,200 deposit on the day he turns 44 (21 equal deposits in all.) With no additional deposits, the money in the IRA continues to earn 6.5% interest compounded annually until Bob retires on his 65th birthday. How much is the IRA worth when Bob retires?

The explanation of the answer is now given as follows:

Step 1: Calculation of the future value of the IRA when Bob turns 44

This can be calculated using the formula for calculating the Future Value (FV) of an Ordinary Annuity as follows:

FV44 = M * (((1 + r)^n - 1) / r) ................................. (1)

Where,

FV44 = Future value of the IRA when Bob turns 44 = ?

M = Annuity payment = $1,200

r = annual interest rate = 6.5%, or 0.065

n = number of years = 44 - 24 + 1 = 21

Substituting the values into equation (1), we have:

FV44 = $1,200 * (((1 + 0.065)^21 - 1) / 0.065)

FV44 = $1,200 * 42.3489537330236

FV44 = $50,818.74

Step 1: Calculation of the future value of IRA when Bob retires at 65

This can be calculated using the simple future value formula as follows:

FV65 = FV44 * (1 + r)^n ....................................... (1)

Where;

FV65 = Future value of IRA when Bob retires at 65 or the worth of the IRA when Bob retires at 65 = ?

FV44 = Future value of the IRA when Bob turns 44 = $50,818.74

r = annual interest rate = 6.5%, or 0.065

n = number of years = 65 - 44 = 21

Substituting the values into equation (2), we have:

FV65 = $50,818.74 * (1 + 0.065)^21

FV65 = $50,818.74 * 3.75268199264653

FV65 = $190,706.57

Therefore, the worth of the IRA when Bob retires at 65 is $190,706.57.

Alford Hardware had a profit margin of 12.7% and return on assets of 10.8% in 2022. What was their asset turnover?

Answers

Answer: 0.85

Explanation:

Given the variables in the question, Asset Turnover is calculated by;

= Return on Assets / Profit Margin

= 10.8%/12.7%

= 0.85

Other Questions
the scale on a map is 1:10 000a) two towns are 17km aparthow far apart would the be on the map? give your answers in centimeters.b) the viewpoint and the pier are 7.1cm apart on the map.how far apart would they be in real life?give your answers in kilometers. Which relation is a function? Select all that apply {(5,1), (4,1), (3, 1), (2,1)}{(5,3). (4,1), (3, 2), (2,0)}{(5,2), (2,5), (5. 3), (3,5)} {(5,5). (4,4), (3, 3), (2,2}{(5,1), (5,2), (5, 3), (5.4)} Choose the best answer. Select the best answer. Pick a synonym for the word "assimilate." ________ Overcome Integrate Apply for Reside Which animal is most likely to have an open circulatory system? A. CrabB. BirdC. DogD. Lizard The Anti-Federalist Papers primarily argued which of the following selections?A. For abandoning the articlesB. Against the proposed new U.S. constitutionC. Against the inclusion of bill of rights in the constitution D. For the proposed new U.S. constitution Marisa wants to buy a home in Atlanta with a 30-year mortgage that has an annual interest rate of 4.9%. The house she wants is $250,000 and she will make a $55,000 down payment and borrow the remainder. What is Marisa's monthly mortgage payment to the nearest dollar? PLSSS HELP ME ASAPPPP Name the organization Pleaseeeeeee, help meeeeeeee. A) write an explicit formula for the sequence 12, 16, 20, 24 B) Find the 11th term of the sequence * ( asap pllssss i will give brainlist ) Why did the French support the Americans after the Battle of Saratoga?(Select all that apply.)The Continental Congress promised to help the French in Europe.They were enemies of the British. The Americans would give them Canada. They thought the Americans could win. Analyze the map below and answer the question that follows.A political map of South America. Countries are labeled 1 to 6. 1 is attached to Panama and between Ecuador and Venezuela. 2 is between Colombia and Guyana. 3 is the largest country. 4 is in the south between Chile and Paraguay. 5 is along the Southwestern coast next to Argentina. 6 is along the Northwestern coast between Ecuador and Chile.Image courtesy of NASAColombia is located at number _____ on the map above, and Chile is located at number _____.A.2 . . . 6B.1 . . . 6C.2 . . . 5D.1 . . . 5Please select the best answer from the choices providedABCD Someone in your peer review group says that a story needs more details about the setting. How could you build on her comment in a way that helps the writer make the story better?Suggest a different order for the story's events.Disagree with the comment and tell the writer that the story is perfect.Ask the writer questions about where and when the story happened.Make a list of details that you would add if it were your story. Which value for k makes the equation 42 k = 14 true What attributes would you select for yourself, but others would not select for you?I will mark BRAINLIEST Why is diffusion important in the ocean Hey i have a homework of writting something in arbic i got one from the internet but the application itself dont allow me to Copy the text so i have a screenshoot and the teacher needs it as word can anyone change it to text Who can answer plz Dont know just dont answer How does the industrial Ages affect upon the economy result in a change in political and social life? A. There were more mentally disturbed people on the streets.B. More non-white voters were seen at the polls.C. Fewer people ended up in prison.D. The voice of the ordinary citizen was heard all the way to the White House and throughout society in reform movements. Which transformation would accomplish this? A translation 3 units left and 2 units upA translation 3 units right and 2 units down A translation 2 units left and 3 units upA translation 2 units right and 3 units down What is another word for RECIDIVIST What is one way that parties promote their platforms?O They ask voters for monetary contributions to a campaign fund.O They purchase media advertisements to attack the character of opposing candidates.They make sure that all eligible voters in an area can and will vote.They encourage and participate in debates over differing ideologies.