When intra-entity transferred land is subsequently sold to an outside entity, any remaining deferred gain is recognized in the period of the sale.

a. True
b. False

Answers

Answer 1

Answer:

a. True

Explanation:

In the case when the land is transferred while intra entity and sold to the outside entity so any left deferred gain would be recorded in the sale period

and the same is to reported on the consolidated financial statements

Therefore the given statement is true

Hence, the correct option is a.

Thus, the same is to be considered


Related Questions

Tinsel Co.'s balances in allowance for uncollectible accounts were $70,000 at the beginning of the current year and $55,000 at year end. During the year, receivables of $35,000 were written off as uncollectible. What amount should Tinsel report as uncollectible accounts expense at year end

Answers

Answer:

$20,000

Explanation:

to determine the amount that Tinsel should report as bad debt expense (or uncollectible accounts expense), we must start with the beginning balance of allowance for doubtful accounts, and then we must subtract the account's ending balance and any bad debts write offs recorded during the year:

beginning account balance   $70,000

- ending account balance     ($50,000)

- write offs                              ($35,000)

total                                        ($20,000)

Bill Dukes has $100,000 invested in a 2-stock portfolio. $35,000 is invested in Stock X and the remainder is invested in Stock Y. X's beta is 1.50 and Y's beta is 0.70. What is the portfolio's beta?

Answers

Answer:

The portfolio's beta is 0.98

Explanation:

Stock beta id the weghted average beta of a portfolio, Use following formula to calculate the portfolio beta

Portfolio beta = ( Beta of stock X x Weight of Stock X ) + ( Beta of stock Y x Weight of Stock Y )  

As per given data

Stock ______ Amount Invested ______ Beta

X _________ $35,000 _____________ 1.50

Y _________ $65,000 _____________ 0.70   ( $100,000 - $35,000 )

Placing values in the fromula

Portfolio beta = ( 1.50 x $35,000/$100,000 ) + ( 0.70 x $65,000/$100,000 )

Portfolio beta = 0.525 + 0.455

Portfolio beta = 0.98

A company's most recent free cash flow to equity was $100 and is expected to grow at 4% thereafter. The company's cost of equity is 13%. Its WACC is 7.77%. What is its current intrinsic value

Answers

Answer:

Current intrinsic value - equity = $1155.56

Explanation:

FCFE or Free cashflow to equity is the free cash flow attributable to the equity holders. Using the constant growth model of FCFE we can calculate the intrinsic value of the equity or intrinsic value per share. The formula for the constant growth model is as follows,

Value of equity = FCFE0 * (1+g)  /  (r - g)

Where,

FCFE0 is the most recent FCFEg is the growth rate in FCFEr is the required rate of return on equity

Current intrinsic value - equity = 100 * (1+0.04)  /  (0.13 - 0.04)

Current intrinsic value - equity = $1155.56

Social security and medicare are progressive taxes. payroll taxes. local taxes. corporate taxes.

Answers

Answer:

payroll taxes

Explanation:

just took the test, got 100%

Social security and medicare are type of payroll taxes.

What are payroll taxes?

Payroll taxes are taxes paid by an employees form his or her salary.

The tax can be deducted or removed directly from the salary or wages of the employee and it is removed based on the amount of salary or wages in pay roll.

Therefore, payroll taxes includes social security and medicare.

Learn more on Payroll taxes here,

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Money that you owe is known as debt

Answers

Answer:

true

Explanation:

Almaden Hardware Store sells two product categories, tools and paint products. Information pertaining to its 2021 year-end inventory is as follows:Inventory,by Product Category Quantity Per Unit Net Realizable Value Cost Tools:Hammers 100 $4.80 $5.30 Saws 180 9.80 8.80 Screwdrivers 280 1.80 2.40 Paint products: 1-gallon cans 480 5.80 4.80 Paint brushes 100 3.80 4.30 Required:
1. Determine the carrying value of inventory at year-end, assuming the lower of cost or net realizable value (LCNRV) rule is applied to (a) individual products, (b) product categories, and (c) total inventory.2. Assuming inventory write-downs are common for Almaden, record any necessary year-end adjustment amount for each of the LCNRV applications in requirement 1.

Answers

Answer:

Product category        units           cost          NRV   year-end inventory

Tools:

Hammers            100           $4.80        $5.30           $480Saws                    180          $9.80        $8.80          $1,584Screwdrivers       280          $1.80        $2.40            $504

Paint products:

1-gallon cans      480            $5.80      $4.80         $2,304Paint brushes     100            $3.80       $4.30            $380

1) carrying value of year-end inventory:

Tools:                        

Hammers            $480Saws                  $1.584Screwdrivers       $504sub-total            $1,573

Paint products:         $2,568

1-gallon cans    $2,304Paint brushes      $380sub-total           $2,684

Total                          $5,252

2) adjustment to tools:

Dr Cost of goods sold 180

    Cr Inventory: tools 180

adjustment to paint products:

Dr Cost of goods sold 480

    Cr Inventory: paint products 480

or

total adjustment to inventory account:

Dr Cost of goods sold 660

    Cr Inventory 660

Belle Corp. has a selling price of $56 per unit, variable costs of $46 per unit, and fixed costs of $77,000. What sales revenue is needed to break-even

Answers

Answer:

Break-even point (dollars)= $431,200

Explanation:

Giving the following information:

Selling price= $56 per unit

Unitary variable costs= $46

Fixed costs= $77,000

To calculate the break-even point in sales, we need to use the following formula:

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

Break-even point (dollars)= 77,000 / [(56 - 46) / 56]

Break-even point (dollars)= $431,200

Coca-Cola Enterprises issues a 0.07 semi-annual coupon bond with 16 years of maturity. What is the bond's price if the yield to maturity (YTM) is 0.13?a. $1,020 b. $1,162 c. $932 d. $1,216 e. $600

Answers

Answer:

Bond Price​= $600

Explanation:

Giving the following information:

Face value= $1,000

Number of periods= 16*2= 32

Cupon= (0.07/2)*1,000= $35

YTM= 0.13/2 = 0.065

To calculate the price of the bond, we need to use the following formula:

Bond Price​= cupon*{[1 - (1+i)^-n] / i} + [face value/(1+i)^n]

Bond Price​= 35*{[1 - (1.065^-32)] / 0.065} + [1,000/(1.065^32)

Bond Price​= 466.69 + 133.29

Bond Price​= $600

true or false Deflation can be differentiated from disinflation in that the deflation rate is always negative while the disinflation rate is always positive.

Answers

Answer:

True

Explanation:

The deflation arise when there is a decline in the general level of the price in the overall economy. It could be said as a negative rate of inflation

On the other hand, the disinflation arise when the inflation rate is the decline over time but it would remain positive

Therefore the given statement is true

hence, the same is to be considered

Sushi corp. purchased and installed electronic payment equipment at its drive-in restaurants in san marcos, tx, at a cost of $51,300. the equipment has an estimated residual value of $2,700. the equipment is expected to process 275,000 payments over its three-year useful life. per year, expected payment transactions are 66,000, year 1; 151,250, year 2; and 57,750, year 3.

Required:
Complete a depreciation schedule for each of the alternative methods.

1. Straight-line.
2. Units-of-production.
3. Double-declining-balance.


Income Statement Balance Sheet
Year Depreciation Expense Cost Accumulated Depreciation Book Value
At acquisition
1
2
3

Answers

Answer:

Sushi Corp.

Depreciation Schedule:

            Income Statement   Balance Sheet

Year Depreciation Expense  Cost          Accumulated     Book Value

                                                                 Depreciation

At acquisition                          $51,300

Straight-line method:

1             $16,200                   $51,300        $16,200            $35,100

2           $16,200                   $51,300        $32,400            $18,900

3          $16,200                   $51,300        $48,600             $2,700

Units-of-production method:

1              $11,664                   $51,300        $11,664             $39,636

2           $26,730                   $51,300        $38,394            $12,906

3           $10,206                   $51,300        $48,600             $2,700

Double-declining-balance method:

1            $34,371                   $51,300          $34,371               $16,929

2           $11,342                   $51,300          $45,713                $5,587

3          $2,887                    $51,300        $48,600                $2,700

Explanation:

a) Data and Calculations:

Cost of electronic payment equipment = $51,300

Residual value = $2,700

Depreciable amount = $48,600 ($51,300 - $2,700)

Volume of payments = 275,000

Useful life = 3 years

Year 1 expected payment transaction = 66,000

Year 2 expected payment transaction = 151,250

Year 3 expected payment transaction = 57,750

b) Straight-line method:

Depreciation expense per year =  $16,200 ($48,600/3)

b) Units-of-production method:

Depreciation expense per:

Year 1 = 66,000/275,000 * $48,600 = $11,664

Year 2 = 151,250/275,000 * $48,600 = $26,730

Year 3 = 57,750/275,000 * $48,600 = $10,206

c) Double-declining-balance method:

Depreciation rate = 100/3 * 2 = 67%

Depreciation expense per:

Year 1 = $51,300 * 67% = $34,371

Year 2 = $16,929 * 67% =   11,342

Year 3 = $2,887 ($5,587 - $2,700)

A country that advances its national interests abroad by prioritizing international cooperation, compromising with foreign allies, and participating in international organizations such as the United Nations is following a _____.

a. hegemonic grand strategy
b. grand strategy of isolationist protectionism
c. multilateralism grand strategy
d. grand strategy of unilateralism

Answers

Answer:

A country that advances its national interests abroad by prioritizing international cooperation, compromising with foreign allies, and participating in international organizations such as the United Nations is following a _____.

c. multilateralism grand strategy

Explanation:

The emphasis placed on relationships between other countries is dictated by a country's preferred objectives.  If the country encourages international relationships and cooperation with others, it is engaged in multilateralism.  This refers to an alliance of multiple countries pursuing a common goal, like the United Nations.  The opposite of this diplomatic strategy is called unilateralism.  This implies that the country chooses to go it alone without seekings the cooperation of others.  An example is when one country launches a military attack on another without seeking for the help or approval of other friendly countries.

International cooperation is referred to as the process or the set of activities in which the different states are involved in the act of adjusting their behavior as per the preference of the policy coordination.  

The correct answer is c. multilateralism grand strategy

Option c. multilateralism grand strategy is correct because it emphasizes the  relationships between other countries. If the country encourages international relationships and cooperation with others, it is engaged in multilateralism.  This refers to an alliance of multiple countries pursuing a common goal, like the United Nations.  

Options A, B, and D are wrong options because they do not relate to the international cooperation among the states for policy coordination and also because of not participating in the allies and the international organizations.

To know more about the international cooperation and the allies, refer to the link below:

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Using the 4 Cs, we consider a variety of costs associated with the purchase of a product. Cost in the Four Cs model is similar to ________using the Four Ps.

Answers

Answer:

marketing

Explanation:

Marketing may be defined as the business or the action of promoting as well as selling products or the services, which includes a market research and the advertising. It is the activity, the organization undertakes to foster promote by buying or by selling a product or a service in the market.

The 4Cs that is used in the concept of marketing is Convenience, Communication, Consumer solution, Cost. They are quite similar to the 4P model of marketing i.e. Place, Promotion, Product, Price. These models are used in marketing to enhance the 'marketing mix'.

Answer:

Product

Explanation:

Got it right on the test

What is the degree of alignment between what Netflix is currently
doing (actions) and their mission, vision, values, structure, and culture.

Answers

I’m sorry I gave up 85 points on accident

Integration is summation operation performed on discrete random variables.
No
Yes
None of the options
Both A and B

Answers

Answer:

Yes

Explanation:

In simple words, An integral assigns numbers to functions in mathematics in such a manner that can explain movement, region, density, as well as other definitions that emerge from the combination of extremely small data. Integration is among the two primary calculus operational activities; the other one is its greater operating, separation.

Thus, the given statement is true.

You are the CFO of a regional manufacturing firm. They need to raise more capital for an expansion project. You have been asked to talk with regional banks to secure a loan. Your firm has a Current Ratio of 1.0, a Quick Ratio of 0.5, and a TIE ratio of 1.3.

Required:
What would you tell the firm's management about your chances of securing a loan with preferentially low interest rates?

Answers

Answer:

(C) tell management that the company has borderline risk and they will likely need to pay an interest level at or slightly above the average interest rate for their region

Explanation:

As it can be seen that the quick ratio is lower, the current ratio is average and the times interest ratio is lower. The time interest ratio should be more as if the company earnings is high so it able to cover its interest expense

Therefore the company is in the borderline risk due to which the company has to pay the high interest rate

Hence, the correct option is c.

The federal government creates the federal budget each year in order to
Please help and don't put a random answer. Multiple Choices is in the screen shot.

Answers

Answer:

c. decide how much money the government will spend

Explanation:

A budget is a plan on how a person, company, or government intends to spend its projected income.  A federal budget shows the money that a government's departments and agencies intend to spend in the financial year under consideration. A federal budget is a plan of expenditure vis a vis projected income.

If the planned expenditure exceeds forecasted income, the federal budget is said to have a deficit. Should the expenditure be less than the projected income, the budget will have a surplus.

Answer:c

Explanation:

Country A can produce 10 yards of textiles or 6 pounds of food per unit of input. Compute the opportunity cost of producing one additional unit of food instead of textiles.

Answers

Answer: 1.67 yards of textiles

Explanation:

The country can either produce 10 yards of textiles or 6 pounds of food. Opportunity cost of producing one additional unit of food instead of textiles will therefore be;

= 10/6

= 1.67 yards of textiles

This shows that for every pound of food produced, 1.67 yards of textiles are foregone.

Based on this income statement for Company ZYX for the year ending December 31, 2014, what adjustment would need to be made to Net Income to account for Gain or Loss in calculating cash flow from Operating Activities using the indirect method?"

COMPANY ZYX

INCOME STATEMENT

For the Year Ending 12/31/14

Net Sales $ 500,000

Cost of Sales $ 200,000

GROSS PROFIT 300,000

Operating Expenses

Research and Development 35,000

Marketing and Sales Expenses 60,000

General and Administrative Expense 21,000

TOTAL OPERATING EXPENSES 116,000

OPERATING INCOME 184,000

Gain(Loss) on sale of Equipment (30,000)

Gain (Loss) on sale of debt investment 46,000

Other Income/(Expense) (10,000)

Net INCOME BEFORE TAXES 190,000

Income Tax Expense 57,000

NET INCOME $133,000

Answers

Answer:

a) Adjustment of (16,000) in the Operating Section

Explanation:

The adjustment required in the operating activities section of the cash flow statement is shown below:

Loss of sale of equipment  $30,000

Less: Gain on sale of debt investment -$46,000

The net deduction is $16,000

Since there is a loss on sale of an equipment so the same is to be added back and there is a gain on sale of investment with respect to debt so the same is to be deducted

hence, the correct option is a.

a)Adjustment of (16,000) in the Operating Section would need to be made to Net Income to account for Gain or Loss in calculating cash flow from Operating Activities using the indirect method.

Loss of sale of equipment  $30,000

Less: Gain on sale of debt investment -$46,000

The net deduction is $16,000

When you consider that there is a loss on the sale of a device so the identical is to be introduced back and there is a benefit on the sale of funding with respect to debt so the equation is to be deducted.

What is an income statement?

An income statement is an economic declaration that suggests you the employer's earnings and expenses. It additionally shows whether an enterprise is making profit or loss for a given period.

Learn more about income statements here: https://brainly.com/question/24498019

#SPJ2

Marin Company's accounts receivable arising from sales to customers amounted to $88000 and $77000 at the beginning and end of the year, respectively. Income reported on the income statement for the year was $334000. Exclusive of the effect of other adjustments, the cash flows from operating activities to be reported on the statement of cash flows is

Answers

Answer:

Marin Company

Exclusive of the effect of other adjustments, the cash flows from operating activities to be reported on the statement of cash flows is

$345,000

Explanation:

a) Data and Calculations:

Accounts Receivable (Beginning) $88,000

Accounts Receivable (Ending) $77,000

Increase in Cash received from customers = $11,000

b) Income reported on the income statement for the year = $334,000

Increase in Cash received from Customers =                               11,000

Cash flows from operating activities to be reported =           $345,000

c) The Accounts Receivable reduced from $88,000 to $77,000.  This implied that some customers settled their accounts.  Therefore, there was inflow of cash from customers.  This increases the cash flows from operating activities.  This is why the difference is added to the Income as per income statement as a change in working capital.

Robert Klassen​ Manufacturing, a medical equipment​manufacturer, subjected 90 heart pacemakers to 5,000 hours of testing. Halfway through the​ testing,4 pacemakers failed.  
Percent of failures:
Number of failures per unit-hour of operating time:
Number of failures per unit-year:

Answers

Answer and Explanation:

The computation is shown below:

a. For the percentage of failures is

= Number of failures ÷ number of pacemakers tested

= 4 ÷ 90

= 4.4%

b. For Number of failures per unit-hour of operating time

= Number of failure ÷ total time - non-operating time

= 4 ÷ (5,000 × 90) - (5,000 ÷ 2 × 4)

= 4 ÷ (450,000 - 10,000)

= 4 ÷ 440,000

= 9.09 × 10^-6

= 0.00000909 failure per unit-hour

c. For Number of  failures per unit-year is

= Failure ÷ unit year

= 0.0000090909 × 24 hours × 365 days

= 0.07963 failure per unit-year

Insurance, background checks, and security plans are all categories of ____________. policies procedural controls procedures policy controls

Answers

Answer:

procedural controls

Explanation:

Insurance can be defined as a means through which an individual or organization gets protected from financial losses, damages, death or illness after paying a premium.

Generally, insurance companies across the globe charge millions of their customers (insured) premiums every year. This gives them the privilege of having a pool of cash which can be used to cover the cost of losses and destruction to the asset of a small fraction or percentage of its customers.

This simply means that, since insurance companies collect premium from all of their customers for losses which may or may not occur, so they can easily use this cash to compensate or indemnify for losses incurred by those having high risk.

Procedural controls can be defined as a set of steps taken in order to ensure that the information provided are true.

Hence, insurance, background checks, and security plans are all categories of procedural controls.

What is the approximate market value of a $1,000 corporate bond that pays 8 percent interest when comparable bonds are paying 8 percent interest?A. $800B. $900C. $1000D. $1125E. $1625

Answers

Answer:

C. $1000

Explanation:

The computation of the approximate market value is shown below:

Current yield = Annual coupon payment ÷ market value

8% = ($1,000 × 8%) ÷ market value

8% = $80 ÷ market value

So, the market value is

= $80 ÷ 0.08

= $1,000

Hence, the approximate market value is $1,000

Therefore the correct option is c.

We simply applied the above formula so that the correct value could come

And, the same is to be considered

If GDP is expected to increase at a steady rate of 3% per year, how many years would it take for living standards to double

Answers

Answer:

24 years

Explanation:

In a situation where a country GDP which is fully known as GROSS DOMESTIC PRODUCT was been expected to increase or grow at a rate of 3% per year or per annual which means that it will actually takes up to 24 years for a country economy living standard to double .

Therefore the numbers of years it would take for a country living standards to double will be 23 years.

When the economy is overheating and policymakers pursue contractionary fiscal policy, they express willingness to trade off _________ output for a ________ price level.a) higher;higher.
b) higher;lower.
c) lower;higher.
d) lower;lower.

Answers

Answer:

.a) higher;higher.

Explanation:

Economy overheating is an economic situation whereby the economy has a long time economic growth as well as activities, which as a result of this high level of inflation is recorded, then as the inflation linger the economy growth will be hindered and this can leads to recession in the country. It should be noted that When the economy is overheating and policymakers pursue contractionary fiscal policy, they express willingness to trade off higher output for a higher price level

Becky is a cash basis taxpayer with the following transactions during her calendar tax year: Cash basis revenue $54,000 Cash basis expenses, except rent 25,000 Rent expense (paid on December 1) for use of a building for 24 months 24,000 What is the amount of Becky's taxable income from her business for this tax year?

Answers

Answer:

$28,000

Explanation:

Calculation for the amount of Becky's taxable income from her business for this tax year

Taxable income=$54,000 - $25,000 - ($24,000 / 24 months × 1 month)

Taxable income=$54,000 - $25,000 - $1,000

Taxable income=$28,000

Therefore the amount of Becky's taxable income from her business for this tax year will be $28,000

A 20-year maturity bond with par value of $1,000 makes annual coupon payments at a coupon rate of 8%. Find the bond equivalent and effective annual yield to maturity of the bond for the following bond prices.

a. What is the bond’s yield to maturity if the bond is selling for $970?
b. What is the bond’s yield to maturity if the bond is selling for $1,000?
c. What is the bond’s yield to maturity if the bond is selling for $1,170?

Answers

Answer:

since you are required to calculate the effective yield to maturity, you cannot use the approximate YTM formula since it is not exact. You will need to use a financial calculator, online calculator or excel spreadsheet. I prefer to use an excel spreadsheet and use the IRR function:

a) initial outlay = -$970

cash flows 1 - 19 = $80

cash flow 20 = $1,080

IRR = 8.31%

Since the bond is sold at a discount, the effective yield will be higher than the coupon rate.

b) if hte bond is sodl at par, the effective yield to maturity is the coupon rate = 8%

c) initial outlay = -$1,170

cash flows 1 - 19 = $80

cash flow 20 = $1,080

IRR = 6.49%

Since the bond is sold at a premium, the effective yield will be lower than the coupon rate.

Kendrik was frustrated that his DVD player wouldn't play a DVD he purchased while on vacation in Great Britain. When he called the manufacturer to complain, he was told that European DVDs are formatted differently and won't play on all machines. This is evidence of how ________ can place a constraint on global markets.

Answers

Answer:

Kendrik was frustrated that his DVD player wouldn't play a DVD he purchased while on vacation in Great Britain. When he called the manufacturer to complain, he was told that European DVDs are formatted differently and won't play on all machines. This is evidence of how __location______ can place a constraint on global markets.

Explanation:

Production location can place some constraints on global markets, especially when different standards are applied.  To avoid this problem, there is the need to formulate international standards for the production of goods and services.  Without some internationally-accepted standards, local production may not satisfy the global market.

In Windows Media Player, people can play audio CDs, data CDs, and data DVDs that contain music or video files.

Kendrik was frustrated that his DVD player wouldn't play a DVD he purchased while on vacation in Great Britain. When he called the manufacturer to complain, he was told that European DVDs are formatted differently and won't play on all machines. This is evidence of how Location can place a constraint on global markets.

Global markets can be constrained by production location, especially when different standards are applied.

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GIVING ALL MY POINTS AWAY FOR THIS, DUE IN A COUPLE HOURS


The term caveat emptor, a latin term, meaning let the buyer aware
how is this important to suppliers and businesses

Answers

I believe this term means that the buyer assumes the risk that a product may fail to meet expectations or have defects. In other words, the principle of caveat emptor serves as a warning that buyers have no recourse with the seller if the product does not meet their expectations.

One-year Treasury securities yield 4.25%. The market anticipates that 1 year from now, 1-year Treasury securities will yield 6.9%. If the pure expectations theory is correct, what is the yield today for 2-year Treasury securities? Calculate the yield using a geometric average.

Answers

Answer:

5.57%

Explanation:

Assuming that pure expectation theory holds, then the compounded returns of 1 year treasury security rate multiplied by the compounded return of 1 year security rate 1 year from now is equal to the compounded return of the 2 year treasury rate.

1 year treasury security rate = 4.25%

1 year treasury security rate 1 year from now = 6.9%

To solve, we have

1.0425 * 1.069 = (1 + x)²

1.1144 = (1 + x)², finding the square root of both sides

√1.1144 = 1 + x

1.0557 = 1 + x

x = 1.0557 - 1

x = 0.0557

Therefore, the yield today for 2 year treasury securities is 5.57%

If $2000 is invested at 2% interest, find the value of the investment at the end of 6 years if the interest is compounded as follows. (Round your answers to the nearest cent.)

Answers

Answer:

Results are below.

Explanation:

Giving the following information:

Initial investment= $2,000

Ineterest rate= 2%

Number of years= 6 years

First, we will calculate the future value if the interest is compounded annually, semiannually, and quarterly:

FV= PV*(1+i)^n

Annually:

n= 6

i= 0.02

FV= 2,000*(1.02^6)

FV= $2,252.32

Semiannually:

n=12

i= 0.02/2= 0.01

FV= 2,000*(1.01^12)

FV= $2,253.65

Quarterly:

n= 24

i=0.005

FV= 2,000*(1.005^24)

FV= $2,254.32

Now, if instead of compounding interest, it is simple interest:

FV= (PV*i*n) + PV

FV= (2,000*0.02*6) + 2,000

FV= $2,240

Other Questions
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