Portions of the financial statements for Peach Computer are provided below.
PEACH COMPUTER
Income Statement
For the year ended December 31, 2018
Net sales $1,725,000
Expenses:
Cost of goods sold $1,020,000
Operating expenses 530,000
Depreciation expense 47,000
Income tax expense 37,000
Total expenses 1,634,000
Net income $ 91,000
PEACH COMPUTER
Selected Balance Sheet Data
December 31
2018 2017 Increase (I)
or
Decrease (D)
Cash $99,000 $83,500 $15,500 (I)
Accounts receivable 46,300 50,500 4,200 (D)
Inventory 72,000 53,500 18,500 (I)
Prepaid rent 2,700 4,400 1,700 (D)
Accounts payable 42,000 35,500 6,500 (I)
Income tax payable 4,700 8,500 3,800 (D)
Required:
Prepare the operating activities section of the statement of cash flows for Peach Computer using the DIRECT method. (List cash outflows as negative amounts.)

Answers

Answer 1

Answer:

$128,100

Explanation:

Cash flows from operating activities

Net income $91,000

Adjustment to reconcile

net income to net cash

from operations

Depreciation expenses $47,000

Changes in working

capital

Decrease in accounts re. $4,200

Increase in inventory ($18,500)

Decrease in prepaid rent $1,700

Decrease in income tax payable ($3,800)

Increase in accounts payable $6,500

Net cash flow from $128,100

operating activities.


Related Questions

Broker Marty listed Jane’s home and showed it to Buyer Paul. Their listing agreement specified that Marty would receive a 7% commission and the safety period was set at six months after the listing expiration. After the listing expires, Jane lists her home with Broker Sarah for an agreed upon 8% commission rate. Sarah sells the home to Buyer Paul five months later. Which statement is true?

Answers

Answer:

Jane owes 8% commission to Broker Sarah and 7% commission to Broker Marty

Explanation:

Since Marty showed Paul the house while his agreement with Jane was valid, Paul is a prospective buyer that was originally registered as such by Marty. Since the safety period is 6 months, and Paul eventually bought the house only 5 months after Marty's agreement expired, Paul was still Marty's prospective buyer for up to 6 months.

Since Sarah negotiated the sale with Paul, Paul is also Sarah's buyer. If Paul had directly negotiated with Jane, she would only a commission to Marty.

Generally, when properties are listed again with different brokers, the list of prospective buyers form the previous broker is passed to the new broker. The seller of the house can request that the new and old broker get in touch and share a commission if any prospective buyer returns, but that has to be done before the sale is closed. It cannot be done afterwards, since the seller will then have to pay double commissions.

Technical skills: A. help you understand the potential and the limitations of information technology. B. help you work with end users, as well as other analysts and programmers. C. help you manage projects, resources, risk, and change. D. promote an understanding of the different types of information systems. E. enable you to understand the organization and its functions, to identify opportunities and problems, and to analyze and solve problems.

Answers

Answer:  A. help you understand the potential and the limitations of information technology

Explanation: Helping you understand some, if not all of the potential and limitations of information technology is among the usefulness of technical skills which are skills, abilities, knowledge or expertise that are needed to perform complex tasks, processes or actions that are computational, mechanical, scientific or relating to information technology. Examples include the knowledge of programming languages, mechanical tools, design programs etc.

Suppose a participant in this experiment was expending $0 worth of effort in studying for each class before the experiment. Over the next 6 weeks, the student has a math class and an English class, where getting an A in math would require the student to exert $111 worth of effort, while getting an A in English would require the student to exert $114 worth of effort. In this experiment, the student (would or would not) increase time studying for math, and the student (would or would not) increase time studying for English.

Answers

Answer:

For Maths;

The student would increase time studying for maths.

For English;

The student would increase time studying for English.

Explanation:

This is the case in both cases because there's a certainty that the student earns an A in both cases if he puts in the equivalent  $ amount worth of effort.

The student's ability to adapt to change comes under great test over the next  6 weeks in other to get an A in the math and English classes.

What is a firm's fundamental, or intrinsic, value? What might cause a firm's intrinsic value to be different from its actual market value?

Answers

Answer:

Intrinsic value of a firm is the actual value of the firm, and not the market price of the share based value.

Explanation:

Intrinsic value is generally computed using the asset based method, as per this method we compute the actual value  of each asset in the firm separately, and then deduct the value of liabilities from it. In this manner, we estimate the current value of the firm.

Whereas the market value is computed using the stock price of in the market.

As the market value is based solely on the market value of the stock, it does not consider sometimes the actual circumstances, as for example, the land value of the firm might be 10 times more than the value recorded in the books. Because it is recorded at historical cost, although the current value is generally more of a well established firm.

Why do we subtract depreciation in the calculation of EBIAT if we are going to add it back as the next step of the Free Cash Flow formula?

Answers

Answer: Depreciation is tax deductible

Explanation:

Depreciation on assets is recognized by tax authorities as an expense that a business actually incurs so when the income statement is calculated, depreciation needs to be removed as the expense that it is so that taxes can be calculated on the profit.

Depreciation however, does not take actual cash from the company i.e the company does not actually pay anyone cash for depreciation like most other expenses. It needs therefore to be added back to the Free Cash Flow because the FCF deals with how much actual cash the company has which is something that Depreciation being a non-cash expense did not reduce.

The reason why we subtract depreciation in the calculation of EBIAT if we are going to add it back as the next step of the Free Cash Flow formula is because:

Depreciation is tax deductible

According to the  given question, we can see that we need to show why it is necessary to subtract depreciation when calculating the EBIAT in the Free Cash Flow formula.

As a result of this, we can see that when an asset depreciates, then according to the government, it is a taxable commodity which makes it important to remove it from the income statement so that it would be calculated together instead as a separate part.

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The Divirgil Company Net Income is $100. Given the following items:Purchase of debt securities (trading) $7Amortization of premium on bonds payable $4Purchase of treasury stock $5Decrease in dividends payable $2Increase in retained earnings $92Change in Cash for the year is:___________.a. $74b. $76c. $82d. $84e. $78

Answers

Answer:

a. $74

Explanation:

The computation in the change in cash for the year is shown below:

Net income                  $100  

Less: Purchase of Debt Securities  -$7  

Less: Amortization of Premium on Bonds payable  -$4  

Less: Purchase of Treasury Stock      -$5  

Less: cash Dividends paid            -$10 {($100 - $92) + $2}

Change in Cash          $74  

Hence, the correct option is A. $74

We simply deduct all the items from the net income so that the change in cash could come

Phipps Company borrowed $25,000 cash on October 1, 2010, and signed a six-month, 8% interest- bearing note payable with interest payable at maturity. The amount of interest expense to be reported during 2011 is which of the following?
a) $250.
b) $300.
c) $500.
d) $750.

Answers

Answer:

c) $500.

Explanation:

The computation of the interest expense to be recognized for the year 2011 is shown below;

= Principal × rate of interest × number of months ÷ (total number of months in a year)  

= $25,000 × 8% × (3 months ÷ 12 months)  

= $500

The 3 months is taken from October 1 to December 31

Hence, the correct option is c. $500

Would a macroeconomist be interested in how individual consumers respond to an increase in taxes on gasoline?

Answers

Answer:

Yes, a macroeconomist would be interested in how individual consumers respond to an increase in taxes on gasoline

Explanation:

The responses registered knowingly or unknowingly by the individuals affected by changes in certain taxes are largely identical to each other. This is because the majority of people who are anyway affected by such changes belong to the middle class. It is from the responses of multiple individuals, the mood of the entire society in line with the changes in the taxes can be speculated. Most of the time, it is seen that an unprecedented increase in the tax levied over a common commodity affects the middle class negatively. Whereas, on the other hand, a decrease in the same provides them relief to some extent. Hence, the responses of individuals collectively form the response of an entire society that is subjected to changes in taxes, clearly attracting the attention of a macroeconomist.

Suppose the economy is operating at a point where output is less than the natural level of output. Which of the following statements is correct given this information?
a) the price level is less than the expected price level.
b) the unemployment rate is less than the natural unemployment rate.
c) the price level will be higher next period than this period.
d) all of the above.
e) none of the above.

Answers

Answer: a) the price level is less than the expected price level.

Explanation:

When the actual output in an economy is lower then the natural output it is called a Contractionary Gap and the price level will be lower.

This is because the Short Run Aggregate Supply Curve and the Demand curve will intersect at a lesser quantity which will equate to a lower price as well because the economy is producing less and the people are demanding less as well so the point at which they meet will be a lesser price.

If ERS had an incremental increase in revenue of $100,000, based on the net profit margin computed, what is the additional potential profit

Answers

Answer:

The first part of the question was missing, so I looked for it:

total revenue = $934,500

net income = $62,260

net profit margin = (net income / total revenue) x 100 = ($62,260 / $934,500) x 100 = 6.662%

if revenue increases by $100,000, then net income should increase by:

$100,000 x 6.662% = $6,662

Discuss whether consumers will gain or lose from trade in the following cases below:________
a) The importing country when the market is perfect competition (3 points)
b) The exporting country when the market is perfect competition (3 points)

Answers

Answer:

a. Gain

b. Lose

Explanation:

a. The consumers in Importing country will gain in a perfect competition because imports by the country will increase the variety of products available and in a perfect competition every seller have the equal chance to sell its goods, so in order to increase sales the sellers may reduce prices which will result in a gain for the consumers.

b. The consumers in exporting country will lose in a perfect competition because the country is exporting the goods to another country and so the country exporting the goods will be left with limited goods and due to equal demand the prices will remain same or may increase if demand is increased which will result in a loss for the consumers of goods in a exporting country.

The uses of Free cash flow include:_______. a. pay dividends.b. re-purchase stock.c. pay taxes.d. a. and b. only.
e. all the above.

Answers

Answer: d. a. and b. only.

Explanation:

Free Cashflow to a company is cash that is available to the company after it has finished paying off all expenses for the period. This money can then be used to pay out dividends or engage in stock repurchasing.

Taxes are not paid from Free cash as they are an income expense. Free cash is only acquired after the taxes have been paid off.

Outstanding debt of Home Depot trades with a yield to maturity of ​%. The tax rate of Home Depot is . What is the effective cost of debt of Home​ Depot?

Answers

Answer: 3.6%

Explanation:

The effective cost of debt is the interest rate adjusted for taxes so it is expressed by;

= Interest (1 - tax rate)

= 6% ( 1 - 40%)

= 3.6%

Answer:

3.6%

Explanation:

3. What is the value of the bullwhip measure for a company with a standard deviation of demand equal to 20, and a variance of orders equal to 450?

Answers

Answer:

1.125

Explanation:

The computation of the value of the bullwhip measure is shown below

As we know that

The Variance of demand = Square of the standard deviation of demand

i.e.

= square of 20

= 400

And, the Variance of orders = 450

Now the

Bullwhip measure is

= The variance of orders ÷ the variance of demand

= 450 ÷ 400

= 1.125

Productivity in the United States doubled between 1945 and 1990. However, the work week didn't get shorter because

Answers

Answer:

the standard of living increased

Explanation:

Between the years 1948 and 1990, the level of productivity in the United States of America increased tremendously, to the extent that it was in the doubled fold. Consequently, this increase in the level of productivity simply exemplified that, there is a substantial increase in the standard of living for the average American.

Hence, it can be concluded that, in this case, the workweek didn't get shorter because "the standard of living increased."

The reduction of on the job injuries and illnesses would benefit employers, because they would
a. be able to hire their best friends
b. gain back time lost by employees
sell more products in less time
d. stop paying bonuses
C.

Answers

B is the correct answer.

The reduction of on the job injuries and illnesses would benefit employers because they would gain back time lost by employees. Option B is correct.

What are the common on the job injuries & illnesses?

1. Slips, trips, and falls.

2. Overexertion and muscle strains.

3. Struck by workers, equipment, or falling objects.

4. Crashes or collisions.

5. Exposure to harmful substances or environments.

6. Fire and explosions.

7. Violence and other injuries by persons or animals.

With rise in level of workplace safety and state-of-art health measure undertaken by the employers improve the situation against on the job injuries and consecutively lead to provide more productive time to get better results & achieving goals.

Therefore gain back time give appropriate results.

For more info about on the job injuries refer:

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Lens Care Inc. (LCI) manufactures specialized equipment for polishing optical lenses. There are two models - one mainly used for fine eyewear (F-32) and another for lenses used in binoculars, cameras, and similar equipment (B-13). The manufacturing cost of each unit is calculated using activity-based costing; using the following manufacturing cost pools.
Cost Pools Allocations base Costing rate
1- Materials handling Number of parts 2.40 per part
2- Manufacturing Supervision Hours of machine time 14.80 per hour
3- Assembly Number of parts 3.30 per part
4- Machine setup Each setup 56.50 per setup
5- Inspection and testing Logged hours 45.50 per hour
6- Packaging Logged hours 19.50 per hour
LCI currently sells the B-13 model for $1,690 and the F-32 model for $922. Manufacturing costs and activity usage for the two products are as follows:________.
B-13 F-32
Direct materials $150.50 $95.90
Number of parts 180.00 110.00
Machine Hours 7.50 6.20
Inspection time 1.50 1.25
Packaging time .75 .50
Set-ups 3.00 2.00
1) The product cost for model B-13 is calculated to be:
2) The product cost for model F-32 is calculated to be:
3) The product margin for model B-13 is calculated to be:
4) The product margin for model F-32 is calculated to be:

Answers

Answer:

1.  Product cost for model B-13

Various Manufacturing cost =  Cost driver * Activity Rate

Materials handling = 180 parts x $2.40 = $432.00

Manufacturing Supervision = 7.50 machine hours x $14.80 = $111.00

Assembly = 180 parts * $3.30 = $594.00

Machine setup = 3 setups * $56.50 = $169.50

Inspection and testing = 1.50 inspection time * $45.50 = $68.25

Packaging = 0.75 packaging time * $19.50 = $14.63

Total Manufacturing cost =$432.00 + $111.00 +  $594.00 + $169.50   + $68.25  + $14.63  = $1389.38

Particulars                    Amount$

Direct Materials           150.50

Manufacturing cost     1,389.38

Total Product cost      1,539.88

The product cost for model B-13 is $1,539.88

2.  Product cost for model F-32

Various Manufacturing cost =  Cost driver * Activity Rate

Materials handling = 110 parts * $2.40 = $264.00

Manufacturing Supervision hours = 6.20 machine hours * $14.80 = $91.76

Assembly = 110 parts * $3.30 = $363.00

Machine setup = 2 setups * $56.50 = $113.00

Inspection and testing = 1.25 inspection time * $45.50 = $56.88

Packaging = 0.50 packaging time * $19.50 = $9.75

Total Manufacturing cost = $264.00  + $91.76  + $363.00 + $113.00  + $56.88 + $9.75 = $898.39

Particulars                Amount$

Direct Materials         95.90

Manufacturing cost   898.39

Total Product cost    994.29

Hence, the product cost for model F-32  is $994.29.

3. Particulars              Amount$

Sales                            1,690.00

Less: Product cost      1,539.88

Product Margin          150.12

Hence, the product margin for Model B-13 is $150.12

4. Particulars           Amount$

Sales                         922.00

Less: Product cost   994.29

Product Margin       -72.29

Hence, the product margin for Model F-32 is -$72.29

You want to purchase a motorcycle 4 years from now, and you plan to save $3,500 per year, beginning immediately. You will make 4 deposits in an account that pays 5.7% interest. Under these assumptions, how much will you have 4 years from today

Answers

Answer:

You will have $16,111.99

Explanation:

a) Data and Calculations:

Annual savings $3,500

Years = 4

Interest rate = 5.7%

Future value using finance calculator:

FV (Future Value) $16,111.99

PV (Present Value) $12,907.71

N (Number of Periods) 4.000

I/Y (Interest Rate) 5.700%

PMT (Periodic Payment) $3,500.00

Starting Investment $0.00

Total Principal $14,000.00

Total Interest $2,111.99

b) Your annual savings of $3,500 with 4 deposits will have a future value of $16,111.99 compounded at 5.7% for 4 years with a total principal of $14,000 ($3,500 * 4).

Based on the information provided regarding Dell, which orientation would best describe its approach to marketing?

Answers

Answer:

Market Orientation

Explanation:

As Dell has shifted from "build to order" to "make to stock", there will always be availability of stock with him so that no customers are left without sale on short notice of demand also.

Further now as Dell, chooses and works on to analyse its customers, their needs, the pricing that should be done, it is trying to understand the customer perspective.

Also with that it is provided that it was able to increase its profit.

Accordingly in market orientation a company works on the the customers analysis and implements practices which favour the customer wants maximum in order to get more profitable deals.

Stark Company's most recent balance sheet reported total assets of $1.82 million, total liabilities of $0.84 million, and total equity of $0.98 million. Its Debt to equity ratio is:

Answers

Answer:

Debt to Equity Ratio = 0.86

Explanation:

Debt to Equity Ratio = Total Liabilities / Stockholder's Equity

Total Liabilities = $0.84 million

Stockholder's Equity = $0.98 million

Debt to Equity Ratio = $0.84 million / $0.98 million

Debt to Equity Ratio = 0.857143

Debt to Equity Ratio = 0.86

Which function relates to maintaining inventory?
OA. accounting
OB. production
OC.
finance
OD.
human resource

Answers

Answer:production

Explanation:

During a recent fiscal year, Creek Company reported pretax income of $123,000, a contribution margin ratio of 25% and total contribution margin of $380,000. Total variable costs must have been:_________. a. $1028,000 b. $1,140,000 c. $492,000 d. $1,520,000 $2,012,000

Answers

Answer:

b. $1,140,000

Explanation:

To get the total variable cost, we need to first get the sales.

Sales = Contribution / Margin ratio

= $380,000 / 25%

= $1,520,000

Therefore,

Total variable costs would be

= $1,520,000 * 75% [100% - 25%]

= $1,140,000

If D1 = $1.25, g (which is constant) = 4.7%, and P0 = $26.00, what is the stock's expected dividend yield for the coming year?

Answers

Answer:

the expected dividend yield is 4.81%

Explanation:

The computation of the stock expected dividend yield is shown belo:

Stock expected dividend yield is

= Dividend ÷ Price

where,

Dividend is $1.25

And, the price is $26

Now place these values to the above formula

So, the expected dividend yield is

= $1.25 ÷ $26

= 4.81%

Hence the expected dividend yield is 4.81%

One advantage for Dell in using blogs is ______ to customers while engaging in conversation that builds better relationships. Multiple Choice communicating entertaining controlling talking listening

Answers

Answer:

communicating

Explanation:

A blog is a social media tool that allows a company like Dell to establish a more direct communication with the customer, providing content that helps in the engagement and in bringing the consumer closer to the company, which can mean an advantage of being able to approaching the customer in a more dynamic, flexible way that allows for a shorter conversation and response time that helps in building value for the customer by increasing their interaction with the company and brand awareness.

This marketing strategy gives the company a relationship building that increases the brand value and the company's positioning in the market.

The hourglass model for structuring effective business presentations suggests you should:_______.

Answers

Answer:

Begin and end your presentation with motivating context

Explanation:

Just as the hourglass is shaped with a large top, narrow middle and a large bottom. Presentations should start on a general and motivational context.

The middle of the presentation should focus on some details and procedures on how to achieve set goals and objectives of the topic. This is where practical steps are given to the audience.

The end of the presentation should again be a motivational context again. The audience is made to see the big picture of the situation.

Neo-mercantilists equate political power with economic power and economic power with:______a. corruption.b. a balance-of-trade surplus. c. regional dominance.d. a trade monopoly.e. capitalism.

Answers

Answer: balance of trade surplus

Explanation:

Neomercantilism is a policy regime whereby export was encouraged while import was, discouraged. It also controls capital movement, and advocatee for currency decisions to be a government decision.

Neo-mercantilists equate political power with economic power and economic power with balance of trade surplus which is when the value of exports are more than that of imports.

__________custom pack shipments when the exporter lacks the equipment or the expertise to do so itself.

Answers

Answer: export packer

Explanation:

Export packer custom pack shipments when the exporter lacks the equipment or the expertise to do so itself.

Export packing is simply defined as when goods or certain products are being prepared for international shipping. It should be noted that the degree of export packing that will be required depends on the mode of transportation, destination of the seaport or airport, the kind of product, and the facilities that are at the shipment.

What limits the quantity sold with a price floor: supply or demand?

Answers

Answer:

Demand

Explanation:

If no one is buying the product naturally it the limits the quantity sold.

Companies that are considered pricesetters usually employ the​ _________________ approach to pricing products.

Answers

Answer:

Cost-plus pricing

Explanation:

Cost-plus pricing is a pricing method used by companies where the cost of a product id determined and a percentage is added to the cost to determine the selling price of the product.

For example if it costs $5 to make a lemonade, you then add $5 and sell the lemonade for $10. This is an example of cost plus pricing

Your Competitive Intelligence team is predicting that the Chester Company will invest in adding capacity to their Cell product this year. Assume Chester's product Cell invests in increasing its capacity by 10% this year. Because of this new information, your company anticipates all other products in the Core segment will increase their capacity by the same amount. How much can the industry produce in the Core segment the next year? Consider only products primarily in the Core segment last year. Ignore current inventories. Figures in thousands (000). Select: 1Save Answer 13,728 5,040 8,359 7,381 4,219 9,559 8,581

Answers

Question Completion:

Figures in thousands (000):

Product Segment    Capacity Next Round

Dug             Core                1200

Dune     Core                1450

Beetle     Core                1040

Bat             Core                1050

New     Core                100

Adam     Core               1200

Answer:

Chester Company

Competitive Intelligence Report:

Based on the increased 10% capacity, the industry can produce 6,644 units.

Explanation:

a) Data and Calculations:

Product Segment    Capacity Next Round    Increased Capacity (1.1)

Dug             Core                1,200                    1,320

Dune     Core                1,450                    1,595

Beetle     Core                1,040                     1,144

Bat             Core                1,050                    1,155

New     Core                   100                        110

Adam     Core               1,200                    1,320

Total                                     6,040                   6,644

b) Each of the core segment products can be increased by the increased capacity factor of 1.10 (1 + i), where "i" is the rate of capacity increase.  Alternatively, the total capacity in the current period can be increased by the increased capacity factor.  Either way, produces the same result of an increased capacity of 6,644 units that the industry can produce.  The result also shows that the options provided in the question are not correct.  They must have been based on other assumptions.

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