Rank the following asserts of a commercial Bank in order of decreasing liquidity. (a) market loans. (b) Reserves with the bank of Ghana. (c) cash. (d) personal loans. (e) sales and repurchase agreements (repos). (f) mortgages. (g) Government bonds (of from one to five years to motuity)​

Answers

Answer 1

The rankings are as follows;

Cash.Ghana bank.Personal loan.Market loan.Sales and repurchase agreements.Mortgage.Government bonds.

We want to help the user to understand the term liquidity before giving the explanation with respect to ranking the following terms:

Liquidity means an asset or security that should be converted into cash without impacting the market price.

Here the most liquids are the ones that could be converted into cash in an easy manner but we have to rank in order of reducing the liquidity.

Cash = more liquid.Ghana bank along with reserves = less than liquid as cash.Personal loan = less liquid.Market loan = less liquid.Sale & repurchase agreements = less liquid.Mortgage = reduce liquidity. Government bonds.

We ranked according to high to low liquidity.

Learn more about assets here: brainly.com/question/13848560


Related Questions

Using the one-period valuation model, assuming a year-end dividend of $1.00, an expected sales price of $100, and a required rate of return of 5%, the current price of the stock would be

Answers

Answer:

Price of stock = $96.19

Explanation:

According to the dividend valuation model , the current price of a stock is the present value of the expected future dividends discounted at the required rate of return  

This principle can be applied as follows:  

The value of cash flow the stock today is the present value of the future cash flow discounted at the required rate of return

Price of stock = D1/(1+r)   + P/(1+r)

D1= dividend in year 1

r- discount rate - 5%

P- Price in year 1

DATA

D1- 1,

r- 5%

P- 100

Price of stock = 1/(1.05) + 100/(1.05) = 96.19

Price of stock = $96.19

Many of today’s ____________________ systems concentrate on hiring and managing existing employees to get the total potential of the human talent in the organization.

Answers

Answer:

The correct answer is: Human Resource Management

Explanation:

To begin with, the Human Resource Management Systems are the ones that focus on the managing of the human factor inside the organization with the purpose of making easier the processes of hiring, collecting data and more. So therefore that this systems concentrate on hiring and managing existing employees to get the total potential of the human talent in the organization by having a better and more organized place in where the managers can deal with those issues and other stuff related to that.

Investment in human capital is very similar to investing in physical capital. True or false? Explain your answer.

Answers

Answer:

True.

Explanation:

This statement is true because investing in human capital and physical capital has the similarity that these assets will lead the organization to carry out its processes, achieve its objectives and goals, and generate liquidity, therefore the similarity is in the importance of capital for the organization.

Human capital can be more difficult to measure, as it is intangible, and physical capital is easier to measure and analyze what the return provides for organizational activities.

However, there are ways to measure how human capital positively impacts the company, so it is necessary to have an effective management that provides the best investment of the ideal human and physical capital for your needs.

Which of the following is true regarding the trial balance? Select all that apply. The trial balance includes all of the accounts needed to create the balance sheet and the income statement.

Answers

Complete Question:

Which of the following is true regarding the trial balance? Select all that apply.

a) The trial balance includes all of the accounts needed to create the balance sheet and the income statement.

b) The trial balance is much less detailed than the balance sheet and income statement.

c) The accounting principle of materiality says that the information on the trial balance can be combined and simplified into more general reporting items.

d) The accounting principle of money measurement says that the information on the trial balance can be combined and simplified into more general reporting items.

e) The trial balance shows only nominal accounts.

Answer:

a) The trial balance includes all of the accounts needed to create the balance sheet and the income statement.

Explanation:

Company XYZ's trial balance summarizes all the general ledger account balances with the assets and expenses on the debit side and the liabilities, equity, and income on the credit side.  It is extracted from the general ledger for all accounts that do not have equal debit and credit sides.  It is one of the ways to ensure that proper double entry system of bookkeeping has been followed.  That the two sides are in balance does not mean that the trial balance or the general ledger from which it is prepared is error-free.  It simply means that the two sides agree in total.  XYZ can prepare the trial balance at any time, not necessarily at the end of the period.

Problems which deal with the direct distribution of products from supply locations to demand locations are called:____________.
a. Transportation problems
b. Assiignment problems
c. Network problems
d. Transshipment problems

Answers

Answer:

a. Transportation problems

Explanation:

In Business management, problems which deal with the direct distribution of products from supply locations to demand locations are called transportation problems.

Transportation is a supply chain technique which primarily includes all of the process involved in the distribution of finished goods and services from the production line to the consumers or end users, so as to meet their needs or wants.

Mickey and Jenny Porter file a joint tax return, and they itemize deductions. The Porters incur $3,425 in employment-related miscellaneous itemized deductions. They also incur $5,375 of investment interest expense during the year. The Porters' income for the year consists of $178,500 in salary and $4,495 of interest income.

What is the amount of Porters' investment interest expense deduction for the year?

Answers

Answer:

$4,995

Explanation:

Calculation of the amount of the Porters' investment interest expense deduction for the year

Based on the information given we were told that Porters' income consists of the amount of

$4,495 of interest income which means that $4,995 will be the investment interest expense deduction for the year. While the amount of $380 ($5,375-$4,995) will be the amount that will be carried forward to the following year.

Therefore Porters' investment interest expense deduction for the year will be $4,995

A company reported that its bonds with a par value of $50,000 and a carrying value of $57,500 are retired for $60,600 cash, resulting in a loss of $3,100. The amount to be reported under cash flows from financing activities is:

Answers

Answer:

The amount this company would report under cash flows from financing activities is $60,600.

Explanation:

These cash flows of $60,600 represent the actual cash outflows, an amount that bondholders would receive from the company in retirement of the bonds.  The statement of cash flows records the actual cash inflows and outflows of a company transactions during a particular accounting period.  Every item is adjusted to reflect the actual cash flows.  It is strictly based on the Cash Basis of accounting instead of the accrual basis.

Data concerning Lemelin Corporation's single product appear below:
Per Unit Percent of Sales
Selling price $ 230 100 %
Variable expenses 115 50 %
Contribution margin $ 115 50 %
The company is currently selling 7,000 units per month. Fixed expenses are $581,000 per month.
The marketing manager would like to cut the selling price by $18 and increase the advertising budget by $37,000 per month. The marketing manager predicts that these two changes would increase monthly sales by 1,600 units. What should be the overall effect on the company's monthly net operating income of this change?
a. increase of $302,200
b. decrease of $118,200
c. decrease of $7,800
d. increase of $118,200

Answers

Answer:

lol

Explanation:

Now don't get us wrong – not all of these answers raise this excellent question

The process by which management plans, evaluates, and controls long-term investment decisions involving fixed assets is called a.absorption cost analysis b.cost-volume-profit analysis c.variable cost analysis d.capital investment analysis

Answers

Answer:

d.capital investment analysis

Explanation:

Capital Investment Analysis uses methods such as Payback period, Accounting Rate of Return, Net Present Value to evaluate the the most suitable investment decisions involving fixed asset and this is known as capital investment analysis.

Knowledge Check 01 On December 31, 2019, Wintergreen, Inc., issued $150,000 of 7 percent, 10-year bonds at a discount of $10,125. The bonds pay interest semiannually. Wintergreen uses the straight-line bond amortization method. The entry to record each interest payment includes a debit to Bond Interest Expense for $5,756, a credit to Discount on Bonds Payable for $506, and a credit to Cash for $5,250. At December 31, 2020, the carrying value of the bonds will equal _____.

Answers

Answer:

Carrying value of bond = $140,887 .50

Explanation:

Balance in discount on bonds account as on Dec 31, 2019 = Total discount on bonds - amortized discount on 30 June, 2019 - discount amortized on Dec 31, 2019

= $10,125 - $506.25 -$506.25

= $9,112.50

Carrying value of the bond = Face value of bond - Balance in discount on bonds account.

= $150,000 - $9,112.50

= $140,887 .50

Note:

Amortization of discount on bonds = Total discount on bond / total number of interest payments

= $10125/(10×2)

= $10125/20

= $506.25

who are the customers for textbooks? What do these customers want in terms of goods and services related to textbooks? From the publishers point of view, who are the key customer?

Answers

Answer:

the customers for textbooks are students and schools

A draft is issued by the exporter's bank, ordering the importer's bank to pay for the merchandise and thus guaranteeing payment once it is accepted by the importer's bank.

a. True
b. False

Answers

Answer:

A. True

Explanation:

Answer: A. True

Explanation: The process of bank loans.

When you view a selection at Amazon and see "Customers who bought this (item) also bought ...," you are seeing the application of

Answers

Answer: collaborative filtering

Explanation:

Collaborative filtering is a technique thta helps to filter out the things that a user can like base on how other identical users react. Here, a small sample of the people with similar taste will be chosen from a larger group.

When you view a selection at Amazon and see "Customers who bought this (item) also bought ...," you are seeing the application of collaborative filtering.

U.S. net capital outflow Group of answer choices is a source of the supply of loanable funds, and the source of the supply of dollars in the foreign exchange market. is a source of the supply of loanable funds, and a source of the demand for dollars in the foreign exchange market. is a part of the demand for loanable funds, and the source of the supply of dollars in the foreign exchange market. is a part of the demand for loanable funds, and a source of the demand for dollars in the foreign exchange market.

Answers

Answer:

Option D would be the correct choice.

Explanation:

The net capital outflow has been the discrepancy among purchasing foreign assets from a region, as well as selling domestic currency worldwide. Find a basket of products similar across both the United States or even just Taiwan. Such net capital outflows allude to something like the disparity between households and businesses acquiring overseas investments versus non-residents acquiring domestic currency.

The other options in question aren't relevant to the particular context. So choice D is perhaps the right one.

The stock pays a dividend of $2 per year and its price is $80. If the market return is 7% and the risk-free rate is 1%, what is the stock beta? A. 0.4 B. 0.5 C. 0.25 D. 0.1

Answers

Answer:

The beta of the stock is 0.25 and option C is the correct answer.

Explanation:

The current price of a stock which pays a constant dividend can be determined using the zero growth dividend model of DDM. The formula to calculate the price under this model is,

P0 = Dividend / r

Where,

r is the required rate of return on the stock

As we already know the value of P0 and Dividend, we can plug in these values in the formula and calculate the value of r.

80 = 2 / r

80 * r = 2

r = 2 / 80

r = 2.5% or 0.025

The required rate of return can also be calculated using the CAPM equation. The formula for r under CAPM is,

r = rRF + Beta * (rM - rRF)

Where,

rRF is the risk free raterM is the return on market

To calculate beta, we will input the values for r, rRf and rM in the CAPM equation.

Let beta be x.

0.025 = 0.01 + x * (0.07 - 0.01)

0.025 - 0.01 = x * 0.06

0.015 / 0.06 = x

x = 0.25

Thus, beta is 0.25

A company purchased money market funds with cash during the current year. Which of the following statements is correct?
A. This transaction will result in a decrease in cash from investing activities.B. This transaction will result in a decrease in cash from operating activities.C. This transaction will result in a decrease in cash from financing activities.D. This transaction will not cause a change in cash from operating, investing, or financing activities.

Answers

Answer: This transaction will not cause a change in cash from operating, investing, or financing activities.

Explanation:

When a company purchased money market funds with cash during the current year, it should be noted that this will transaction will not cause a change in cash from operating, investing, or financing activities. This is because the purchase was made with cash during the current year.

A stock is selling today for $40 per share. At the end of the year, it pays a dividend of $2 per share and sells for $44. a. What is the total rate of return on the stock?

Answers

Answer:

The total rate of return on the stock is 14%.

Explanation:

The sources of income from a stock are dividends and increase in its value. Therefore, the total rate of return on stock is calculated by dividing the addition of appreciation in the of the stock and dividends paid by the original stock price.

Therefore, the total rate of return on the stock can be calculated using the following formula:

Total rate of return = [(P1 - Po) + D] / Po .......................... (1)

Where;

P1 = Ending stock price = $44

Po = Initial stock price = $40

D = Dividend paid = $2

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

Total rate of return = [(44 - 40) + 2] / 44

Total rate of return = [4 + 2] / 44

Total rate of return = 6 / 44

Total rate of return = 0.14, or 14%

What is the expected yield on the market portfolio at a time when Treasury bills are yielding 6%, and a stock with a beta of 1.5 is expected to yield 18%

Answers

Answer:

8%

Explanation:

According to CAPM :

expected stock yield =risk free rate + (beta x market yield)

6% + 1.5 x market yield = 18%

18% - 6% = 1.5market yield

solving for market yield gives

market yield = 8%

The strategic appeal of related diversification is that it Multiple Choice allows a firm to reap the competitive advantage benefits of skills transfer, lower costs (due to economies of scope), cross-business use of a powerful brand name, and/or cross-business collaboration in creating stronger competitive capabilities. is less capital intensive than unrelated diversification because related diversification emphasizes getting into cash cow businesses (as opposed to cash hog businesses). involves diversifying into industries having the same kinds of key success factors. is less risky than unrelated diversification because it avoids the acquisition of cash hog businesses. facilitates the achievement of greater economies of scale since the company only enters those businesses that serve the same types of buyer groups and/or buyer needs.

Answers

Answer: allows a firm to reap the competitive advantage benefits of skills transfer, lower costs (due to economies of scope), cross-business use of a powerful brand name, and/or cross-business collaboration in creating stronger competitive capabilities.

Explanation:

Related diversification is when an organization expands its business by producing products which are similar to what it currently produces. In related diversification, there's identical product lines. An example is a computer manufacturer producing calculators.

Organizations that go into related diversification enjoys lower costs and competitive advantage over their counterparts.

2. An entrepreneur must make sure to budget carefully since they oversee their own company's finances.
True
False

Answers

Answer:

True .....this is because the entrepreneur is the risk bearer of the business...he is liable for any profit/loss.

A trader maintains a position in a small capitalization stock that has low trading volume. The trader has a high level of which of the following risks?
A) MarketB) LiquidityC) BusinessD) Inflation

Answers

Answer:

B) Liquidity

Explanation:

Liquidity is the ability of quickly buy or sell a stock without any price change.

Liquidity in a small-capitalization stock that has low trading volume is generally low that causes a problem for traders. It is so because in small capitalization, traders are unable to understand potential pitfalls and blindly invest in small-capitalization stocks which do not give profit as expected and the liquidity becomes low.

Hence, the correct answer is B) Liquidity.

The production budget shows expected unit sales of 40000. Beginning finished goods units are 3800. Required production units are 41600. What are the desired ending finished goods units

Answers

Answer:

desired ending inventory= 5,400 units

Explanation:

Giving the following information:

Sales= 40,000 units

Beginning finished goods= 3,800 units

Production= 41,600 units

To calculate the desired ending inventory, we need to use the following formula:

Production= sales + desired ending inventory - beginning inventory

41,600= 40,000 + desired ending inventory - 3,800

41,600 + 3,800 - 40,000= desired ending inventory

desired ending inventory= 5,400 units

If the price of steel, an input into the production of automobiles, rises, and at the same time the price of gasoline rises, what will happen to the equilibrium price and quantity of automobiles

Answers

Answer:

a decrease in equilibrium quantity

an indeterminate effect on equilibrium price.

Explanation:

An increase in the price of steel would raise the production cost of cars. as a result the supply curve would shift inwards or to the left. price would rise and quantity would fall.

A rise in the price of gasoline would increase the cost of fuelling one's car. As a result the demand for cars would fall. the demand curve would shift inward. Quantity and price would fall.

Taking these two effects together, there would be a decrease in equilibrium quantity but an indeterminate effect on equilibrium price.

Check the attached image for a diagram explaining the effects of these changes

A food manufacturer reports the following for two of its divisions for a recent year.
($ millions) Beverage Division Cheese Division
Invested assets, beginning $2,680 $4,473
Invested assets, ending 2,602 4,409
Sales 2,690 3,934
Operating income 358 643
Required:
1. Compute return on investment.
2. Compute profit margin.
3. Compute investment turnover for the year.
Assume that each of the company's divisions has a required rate of return of 8%. Compute residual income for each division.

Answers

Answer:

a. Return on Investment

ROI= Operating income/Average invested assets

Beverage Division ROI = 358 / (2,680+2,602) /2

= 358 / 2,641

= 0.13555

= 13.56%

Cheese Division ROI = 643 / (4,473 + 4,409)/2

= 643 / 4,441

= 0.14478

= 14.48%

b.  Profit margin

Profit Margin= Operating income / Sales

Beverage Division = 358 / 2690

= 0.13309

=13.31%

Cheese Division = 643 / 3934

= 0.16345

= 16.35%

c. Investment turnover for the year

Investment turnover = Sales / Average invested assets

Beverage Division = 2690 / 2641 = 1.02

Cheese Division = 3934 / 4441 = 0.89

d.                            Beverage$'m        Cheese'million

Average Assets          2641                         4441

Targeted return           8%                             8%

Target income             211                            355

Residual Income      Beverage'm       Cheese'm

Operating income       358                       643

Less: Target income    211                        355

Residual Income         147                        288

Potential GDP of an economy is $12 billion. Real (Actual) GDP is $20 Billion. Marginal propensity to consume is 0.75. What level of Government spending is required to achieve Full employment

Answers

Answer:

Government spending required  = $2 billion

Explanation:

The required amount of GDP to achieve the full employment GDP =

Potential GDP - Actual

that is 20 - 12 = $8 billion.

But note that a government spending of less than $8 billion would be required to achieve an increase of 8 billion in real GDP. This is so because of   expenditure multiplier effect.

The expenditure multiplier is the amount by which the aggregate output would increase with an increase in any of the expenditure components.

It is calculated as follows;

Multiplier = 1/(1-MPC)

For this question ,

Expenditure multiplier = 1/(1-0.75) = 4

This implies that $1 change in any of the aggregate expenditure would lead a $4 worth of change in GDP.

Government spending required  is determined as

Desired change in real GDP/expenditure multiplier

= $8 billion/4 = $2 billion

Government spending required  = $2 billion

In your opinion, what are the forms of institutional advertising that are suitable for banks in Palestine with examples. Why??

Answers

Answer:

Institutional advertising for banks in Palestine should take into account the cultural sensibilities of the country.

As a muslim country, banks should take into account not only local Palestinian culture, but also general islamic culture when developing their advertising.

Palestine also has complex foreign relationships. Banks should also take this into account in order to create advertising that is effectively catered to the Palestinian people.

It is always necessary for an agent to disclose the identity of the principal to any third person with whom he is contracting; otherwise the contract becomes void.

a. True
b. False

Answers

B is your answer have a nice day

Stenson, Inc., imposes a payback cutoff of three years for its international investment projects. Assume the company has the following two projects available.
Year Cash Flow A Cash Flow B
0 –$48,000 –$ 93,000
1 18,500 20,500
2 24,800 25,500
3 20,500 33,500
4 6,500 247,000
What is the payback period for each project?

Answers

Answer:

Project A 2.22 years

Project B 3.05 years

Explanation:

Calculation for the payback period for each project

Project A

First step is to calculate for the amount received in 2 years

Amount received=$18,500+24,800

Amount received =$43,300

Second step is to calculate for the amount not received

Amount not received =$48,000-$43,300

Amount not received =$4,700

Third step is to find out when the remaining amount will be received.

=$4,700/$20,500

=$0.22 years

Last step

Payback period=2+0.22 years

Payback period =2.22 years

The payback period for project A will be 2.22 years

Project B

First step is to calculate for the amount received in 3 years

Amount received=$20,500+$25,500+$33,500

Amount received =$79,500

Second step is to calculate for the amount not received

Amount not received =$93,000-$79,500

Amount not received =$13,500

Third step is to find out when the remaining amount will be received.

=$13,500/$247,000

=$0.05 years

Last step

Payback period=3+0.05 years

Payback period =3.05years

The payback period for project B will be 3.05 years

n the cash flow information for the Ping Kings project, Ping spent $300,000 for research and development of the golf clubs. Ping's tax rate is 40%. How much of this cost should be included in the initial (t = 0) cash flow for this project

Answers

Answer: C. $0

Explanation:

When including initial costs in a project's cash-flow, the relevant costs are those that henceforth will be spent on the project. Sunk costs are not to be included because they have already been incurred and cannot be recovered.

Research and Development costs have already been incurred and so are sunk costs. Hence they are not to be included in the initial cash-flow for the project.

The amount of the cost that should be included in the initial (t = 0) cash flow for Ping Kings' Project is D. $300,000.

This is a cash outlay (outflow).  It bears a negative value.  The initial cash flow cannot be $120,000, $180,000, or $0 because of Ping's tax rate of 40%. Under the FASB, Research and Development costs are capitalized.

Secondly, tax is not applied on capital investment but its net income.

Options for this question include:

A. $120,000

B. $180,000

C. $0

D. $300,000

Learn more: https://brainly.com/question/18958117

You recently purchased a stock that is expected to earn 19 percent in a booming economy, 14 percent in a normal economy, and lose 3 percent in a recessionary economy. There is 21 percent probability of a boom, 70 percent chance of a normal economy, and 9 percent chance of a recession. What is your expected rate of return on this stock?

Answers

Answer:

r = 0.1352 or 13.52%

Explanation:

The expected rate of return or r is the average return that is expected from the stock. It is the expected rate of profit or loss that an investor can anticipate on an investment whose returns are known or anticipated.

The expected rate of return of can be calculated as follows,

r = pA * rA  +  pB * rB + ... + pN * rN

Where,

pA, pB and so on represents the probability of an event or state to occur rA, rB and so on are the return in different events  or states

r = 0.21 * 0.19  +  0.7 * 0.14  +  0.09 * -0.03

r = 0.1352 or 13.52%

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