The owner of a leased property conveys possession of the property to the tenant providing them with uninterrupted us of the property without interference from the owner. This is known as

Answers

Answer 1

Answer:

Quiet enjoyment

Explanation:

Quiet enjoyment is a clause in lease agreement that provides a guarantee that the tenant will occupy the property in peace without interference from any other claimants or the landlord.

For example this clause protects a tenant from being removed from a property by someone of higher rank or authority like an agent.

The law recognises quiet enjoyment even when it is not stated explicitly in a lease agreement. It is assumed that every tenant has a right to quiet enjoyment


Related Questions

difference between Kenyan and china culture​

Answers

Chinese culture is one of the world's oldest cultures, tracing back to thousands of years ago. Important components of Chinese culture includes ceramics, architecture, music, literature, martial arts, cuisine, visual arts, philosophy and religion

The present value of $10,000 to be received in 10 years, discounted at an annual rate of 6.78%, is closest to:

Answers

Answer:

PV= $5,189.21

Explanation:

Giving the following information:

The present value of $10,000 to be received in 10 years, discounted at an annual rate of 6.78%.

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

PV= FV/(1+i)^n

PV= 10,000/(1.0678^10)

PV= $5,189.21

Explain why a car is an economic good

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Answer:

car is economic good because it help us to transport goods from one place to another and is can used for travelling from one place to another in a short period of time

An economic good is something that requires resources to produce and has a finite supply. Because the resources and labor used to create a car could have been used to create another good or group of goods, cars are considered economic goods.

What makes a good an economic good?

A good is referred to as an "economic good" if its demand outweighs its supply and it requires human effort to obtain. Free goods, however, like air, are always available and don't require any conscious effort to obtain.

Through the sale and servicing of automobiles, the auto manufacturing industry contributes $1.1 trillion annually to the economy. This money circulates throughout the economy, paying suppliers of auto parts, paying employees at assembly plants, and giving the government money.

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Welcome Inc. is a global Internet company that offers country-specific variations of its sites, keeping in mind the linguistic and religious differences between the countries. Welcome Inc. is most likely doing this to:

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Answer:

reduce its cultural distance from the other countries

Explanation:

In this scenario, Welcome Inc. is most likely doing this to reduce its cultural distance from the other countries. Cultural distance refers to the differences in cultural values amongst countries, organizations, and stakeholders. In this case, Welcome Inc is trying to reduce this by making sure that they adjust their products and services to best accommodate these specific cultural differences in each country. In doing so they gain more loyal customers and increase their profits in each country which they do business in.

iv. What is the essential tool (and subtypes) for seeing the big picture and revealing large information about the data series

Answers

Answer:

Ms Excel

Explanation:

This software is popular among businesses today, which they use in performing data analysis. Often called a spreadsheet application, Ms (Microsoft) Excel allows businesses to see the bigger picture and revealing large information about the data series.

For example, by using Ms Excel, a business can look up the percentage differences in its revenue turnover for a period time (quarterly, monthly or yearly), by simply imputing their data series.

A firm has net working capital of $2,715, net fixed assets of $22,407, sales of $31,350, and current liabilities of $3,908. How many dollars' worth of sales are generated from every $1 in total assets

Answers

Answer:

So, from every $1 of total assets, $1.08 worth of sales are generated.

Explanation:

To calculate how many dollars worth of sales are generated by $1 of total assets, we use the total assets turnover ratio. It is an accounting measure that measures the efficiency of the company's assets in generating sales. It calculates the dollar values of sales generated by each $1 of total assets. The formula for total assets turnover is,

Total Assets Turnover = Sales / Average Total Assets

We already know the level of sales. We need to determine the value of total assets first.

Total Assets = Fixed assets + Current Assets

As we know that net working capital = current assets - current liabilities,

So, the current assets are,

2715 = Current assets - 3908

2715 + 3908 = Current assets

Current assets = $6623

Total assets = 6623 + 22407

Total assets = $29030

Total Assets Turnover = 31350 / 29030

Total assets turnover = 1.0799 rounded off to 1.08

So, from every $1 of total assets, $1.08 worth of sales are generated.

A manufacturer of hospital supplies has a uniform annual demand for 500,000 boxes of bandages. It costs ​$10 to store one box of bandages for one year and $250 to set up the plant for production. How many times a year should the company produce boxes of bandages in order to minimize the total storage and setup​ costs?

Answers

Answer: company can produce boxes 100 times per year.

Explanation:

Ordering cost per order, S = $250

Annual demand, D = 500,000

Holding or carrying cost per unit,  = $10

Economic order Quantity = [tex]\sqrt{2 x Annual demand X ordering cost /carrying cost}[/tex]

=[tex]\sqrt{ 2 X 500,000 X 250 /10}[/tex] =  [tex]\sqrt{25,000,000}[/tex] = 5000

Optimal order quantity = 5000 boxes.

Number of times company can produce boxes =  Annual Demand/ Optimal order quantity =  500,000 / 5000 = 100  times

Suppose a period of continuous political instability leads to people to believe that the economy will slide into a deep recession. As a result, people become more likely to accept ________ money in exchange for goods and services.
A. Flat
B. Commodity
U.S. Dollars are an example of _____ money.
A. Flat
B. Commodity

Answers

Answer:

The answer is:

1. Commodity

2. Fiat

Explanation:

We have two questions here.

First, the answer is commodity money. Commodity money is the type of money whose value are tied to the commodity it is made up of. This is used as a medium of exchange when the value of money falls totally (during inflation or hyperinflation.) Examples of commodity money can be gold, cocoa,copper etc.

Second question. The answer is fiat money. Fiat money is the currency issued by the national government of a country through The Fed(in US) or Central banks (in most countries).

The fiat money in US is the US dollar, for Nigeria is Nigerian naira etc. It is a legal tender in those countries.

Data related to the inventories of Costco Medical Supply are presented below: Surgical Equipment Surgical Supplies Rehab Equipment Rehab Supplies Selling price $ 276 $ 134 $ 354 $ 152 Cost 156 136 255 152 Costs to sell 17 17 16 7 In applying the lower of cost or net realizable value rule, the inventory of surgical supplies would be valued at:

Answers

Answer:

$117

Explanation:

Costco Medical Supply's merchandise inventory:

                  Surgical equip.  Surgical supplies  Rehab equip.  Rehab  supplies

Selling price          $276              $134                   $354                    $152

Cost                        $156              $136                   $255                    $152

Cost to sell               $17                 $17                      $16                       $7

Net realizable V.   $259              $117                   $338                    $145  

 

If we apply the lower of cost or net realizable rule for determining the value of surgical supplies, its value would be: $117 < $136

When we use the lower of cost or net realizable rule, we should value our inventory at the lowest value between original purchase cost and current net realizable value of the products.

Ready Company has two operating (production) departments: Assembly and Painting. Assembly has 280 employees and occupies 55,200 square feet; Painting has 120 employees and occupies 36,800 square feet. Indirect factory expenses for the current period are as follows: Administration $ 86,000 Maintenance $ 102,000 Administration is allocated based on workers in each department; maintenance is allocated based on square footage. The total amount of indirect factory expenses that should be allocated to the Painting Department for the current period is:

Answers

Answer:

$61,200

Explanation:

Maintenance expenses allocated to assembly department

Allocation base = Square footage

= $102,000 * $55,200 / ($55,200 + $36,800)

= $102,000 * $55,200 / $92,000

= $61,200

Compute the new national income given MPC = 0.9, and an autonomous injection of $100B from federal government stimulus spending.

Answers

Answer:1200

Explanation:

The new national income is given MPC = 0.9, and an autonomous injection of $100B from federal government stimulus spending will be 1000.

What is stimulus spending?

To stimulate a market and pull it out of an economic downturn or depression, the government will boost expenditure while lowering taxes as asset prices. This is known as a stimulus package.

The term "economic stimulus" refers to focused monetary and financial actions designed to spur business activity in the private sector. To compensate for the decline in aggregate demand, fiscal recovery focuses on promoting private sector expenditure.

The MPC is given as 0.9

The MPS will be

1 = MPC + MPS

1 - 0.9

MPS = 0.1

The stimulus spending will be

= 1000 / 0.1

= $10000

The federal government has spent of $10000.

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Brennan's Boats is considering a project which will require additional inventory of $128,000, will decrease accounts payable by $7,000, and will increase accounts receivable by $56,000. What is the initial project cash flow needed for net working capital?

Answers

Answer:

$191,000

Explanation:

Brennan's Boats is considering a project in this, the initial project cash flow needed for net working capital is $ 191,000.

What do you mean by the net working capital?

The difference between a company's short-term assets and its short-term debts and liabilities is known as net working capital (NWC). Positive net working capital is excellent since it shows that a company's financial obligations have been met and allows it to invest in other operational needs.

Current assets less Current Liabilities equals Working Capital. An entity has a working capital deficiency, also known as a working capital deficit and negative working capital, if current assets are fewer than current liabilities.

Here,

Calculation of net working capital (NWC):

Net working capital  = $128,000 + 7,000 + 56,000

Net working capital = $191,000.

Therefore, Brennan's Boats is considering a project in this, the initial project cash flow needed for net working capital is $ 191,000.

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Henry​ Crouch's law office has traditionally ordered ink refills 50 units at a time. The firm estimates that carrying cost is 35​% of the ​$12 unit cost and that annual demand is about 235 units per year. The assumptions of the basic EOQ model are thought to apply. For what value of ordering cost would its action be​ optimal?

Answers

Answer:

ordering costs = $22.34

Explanation:

economic order quantity (EOQ) = √(2SD / H)

D = annual demand = 235H = holding cost = 35% x $12 = $4.20S = cost per order = ?EOQ = 50

50 = √[(2 x S x 235) / $4.20]

2,500 = (2 x S x 235) / $4.20

$10,500 = 2 x S x 235

S = $10,500 / (2 x 235) = $10,500 / 470 = $22.34

Ray's Satellite Emporium wishes to determine the best order size for its best-selling satellite dish (model TS111). Ray has estimated the annual demand for this model at 1,500 units. His cost to carry one unit is $80 per year per unit, and he has estimated that each order costs $22 to place.
Using the EOQ model, how many should Ray order each time?

Answers

Answer:

28.72 units

Explanation:

Calculation of how many should Ray order each time using EOQ model

Using this formula

EOQ= √2DS/H

Where,

D=Annual demand 1,500 units

S=Order costs $22

H=Holding Costs $80 per unit

Let plug in the formula

EOQ=√2*1,500*$22/$80

EOQ=√66,000/$80

EOQ=√825

EOQ=28.72 units

Therefore Using the EOQ model, Ray should order 28.72 units each time.

A share of stock is now selling for $120. It will pay a dividend of $10 per share at the end of the year. Its beta is 1. What must investors expect the stock to sell for at the end of the year? Assume the risk-free rate is 6% and the expected rate of return on the market is 18%. (Round your answer to 2 decimal places.)

Answers

Answer:

P1 = 131.6566627 rounded off to $131.66

Explanation:

To calculate the price of the stock at the end of the year or P1, we first need to determine the required rate of return on the stock and the growth rate in dividends.

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

r = rRF + Beta * (rM - rRF)

Where,

rRF is the risk free rate rM is the return on market

r = 0.06 + 1 * (0.18 - 0.06)

r = 0.18 or 18%

Now we assume that the stock is a constant growth stock which means that the growth in dividends is expected to be constant throughout. The price of such a stock is found using the constant growth model of DDM. The formula for price today under the constant growth model is,

P0 = D1 / (r - g)

Where,

P0 is price today D1 is expected dividend for the next period g is the growth rate in dividends

Plugging in the available variables, g is,

120 = 10 / (0.18 - g)

120* (0.18 - g) = 10

21.6 - 120g = 10

g = (10 - 21.6) / -120

g = 0.096667 or 9.6667% rounded off to 9.67%

So to calculate the price at the end of the year or P1, we will use D2.

P1 = 10 * (1+0.0967) / (0.18 - 0.0967)

P1 = 131.6566627 rounded off to $131.66

Suppose the following financial data were reported by 3M Company for 2019 and 2020 (dollars in millions). 3M Company Balance Sheets (partial) 2020 2019 Current assets Cash and cash equivalents $ 3,008 $1,899 Accounts receivable, net 3,110 3,065 Inventories 2,675 3,017 Other current assets 1,890 1,542 Total current assets $10,683 $9,523 Current liabilities $ 4,974 $5,821 (a) Calculate the current ratio and working capital for 3M for 2019 and 2020.

Answers

Answer:

Current ratio  = Current Assets / Current Liability

Current ratio 2019   = 9,523 / 5,821

Current ratio 2019   = 1.64 : 1

Current ratio 2020 =  10,683 / 4,974

Current ratio 2020 =  2.15 : 1

Working Capital = Current asset - Current liability

Working capital 2019 = $9,523 - $5,821

Working capital 2019 = $3,702

Working capital 2020 = $10,683 -  $4,974

Working capital 2020 = $5,709

J. Ross and Sons Inc. has a target capital structure that calls for 40 percent debt, 10 percent preferred stock, and 50 percent common equity. Ross' common stock currently sells for $40 per share. The firm recently paid a dividend of $2 per share on its common stock, and investors expect the dividend to grow indefinitely at a constant rate of 10 percent per year. J. Ross's cost of retained earnings is closest to:

Answers

Answer:

J. Ross's cost of retained earnings is 18.33%

Explanation:

Cost of retained earnings is also call Cost of Equity

Cost of retained earnings = (Dividend per share for next year / Current market value of stock) + Growth rate of dividend

Cost of retained earnings = 2 / 40(1-40%) + 10%

Cost of retained earnings = 2 / 24 + 10%

Cost of retained earnings = 0.08333 + 0.1

Cost of retained earnings = 0.183333

Cost of retained earnings = 18.3333%

Cost of retained earnings = 18.33%

The stock ABC has a beta of 1.6 and its standard deviation is 30%. Its correlation coefficient with the market return is 0.8. What is the standard deviation of the market return? A. None of the answers is correct B. 18% C. 20% D. 15%

Answers

Answer: D. 15%

Explanation:

Beta is given as 1.6 but is calculable by the formula;

Beta = Correlation Coefficient of stock with market returns * [tex]\frac{Standard Deviation of stock returns}{Standard Deviation of market returns}[/tex]

1.6 = 0.8 * 30%/Sdm

30% /Sdm = 1.6/0.8

30% / Sdm = 2

Sdm * 2 =30%

Sdm = 30%/2

Sdm = 15%

Willow Corporation had three employees. Two of the employees worked full-time and earned salaries of $25,000 each. The third employee worked only part-time and earned $3,000. The employer timely paid state unemployment tax equal to 5.4 percent of each employee's wages up to $7,000. How much FUTA tax is due from Willow Corporation for 2019, after the credit for state unemployment taxes?

Answers

Answer:

$102

Explanation:

FUTA tax due from Willow Corporation for 2019, after the credit for state unemployment taxes, can be calculated by deducting the Paid state unemployment tax by the FUTA tax.

DATA

Paid State Unemployment Tax = (7,000+7,000+3,000) x 5.4%

Paid State Unemployment Tax = $918

FUTA tax rate in 2019 = 6%

Solution

FUTA tax (6% x $17,000) = $1,020

FUTA tax due =  $1,020 - $918

FUTA tax due = $102

TB MC Qu. 9-291 Kartman Corporation makes a product with ... Kartman Corporation makes a product with the following standard costs: Standard Quantity or Hours Standard Price or Rate Standard Cost Per Unit Direct materials 8.2 pounds $ 8.70 per pound $ 71.34 Direct labor 0.3 hours $ 41.00 per hour $ 12.30 Variable overhead 0.3 hours $ 5.70 per hour $ 1.71 In June the company's budgeted production was 5,100 units but the actual production was 5,200 units. The company used 23,850 pounds of the direct material and 2,460 direct labor-hours to produce this output. During the month, the company purchased 27,100 pounds of the direct material at a cost of $187,180. The actual direct labor cost was $58,721 and the actual variable overhead cost was $13,331. The company applies variable overhead on the basis of direct labor-hours. The direct materials purchases variance is computed when the materials are purchased. The variable overhead rate variance for June is:

Answers

Answer:

Variable manufacturing overhead rate variance= $688.8 favorable

Explanation:

Giving the following information:

Variable overhead 0.3 hours $5.70 per hour

The company used 2,460 direct labor-hours to produce this output. The actual variable overhead cost was $13,331.

To calculate the variable overhead rate variance, we need to use the following formula:

Variable manufacturing overhead rate variance= (standard rate - actual rate)* actual quantity

Actual rate= 13,331/2,460= $5.42

Variable manufacturing overhead rate variance= (5.7 - 5.42)*2,460

Variable manufacturing overhead rate variance= $688.8 favorable

The Retained earnings account for Nathan Corporation had a credit balance of $800,000 at the end of 2016. Selected transactions during 2017 follow:

a. Net income was $130,000.
b. Cash dividends declared were $60,000
c. Repurchased 100 shares of Nathan Corporation common stock, paying S20 per share. Each share has a $5 par value and was originally issued for $35.
d. Sold 20 shares of Nathan Corporation common stock for $22 each.

Required:
Calculate Nathan's retained earnings balance as of the end of 2011. How large of a dividend could Nathan have declared in 2011?

Answers

Answer:

1 & 2. $870,000

Explanation:

1. Retained Earnings is an equity account from which dividends are paid. The Net Income is added to this and the dividends are deducted from this.

Retained Earnings for the year = Beginning balance + Net Income - Dividends

= 800,000 + 130,000 - 60,000

= $870,000

2. Nathan Corporation could have declared the entire retained earnings of $870,000. This is however, not a recommended action because the Retained Earnings maintain a cushion for the company and as such contribute to financial health and structure of the company.

You are feeling overwhelmed by the number of potential goals you could set for your business unit. You ask your colleague Dan for advice on the process he uses to set goals. Which of the following suggestions from Dan is wrong? He suggests that you

Answers

Answer:

prioritize goals according to their value to the organization

Explanation:

Goal setting is an action plan that is set to motivate someone towards achieving a goal. Individuals, organizations set goals as part of their personal development plans hence must be Specific, Measurable, Action oriented, Realistic and Timely(SMART).

With regards to the above scenario, prioritizing goals according to their value to the organization is wrong. While it is important to prioritize goals, such must however be made to align with the business's strategic objectives.

It is also important to stick to goals already set instead of constantly changing them. Sometimes too, customers put pressure on business owners to consider certain goals which might be beneficial; such should also be looked into after considering their pros and cons.

Which third-party conflict resolution strategy manages the process and context of interaction between the disputing parties but does not impose a solution on the parties

Answers

Answer: Mediation

Explanation:

Mediation is a conflict resolution procedure whereby the parties that are involved will discuss their disputes and a third person who is impartial and also trained assists them in settling the dispute.

Meditation manages the process and context of interaction between the disputing parties but does not impose a solution on the parties.

El 5 de diciembre se solicitó un préstamo por USD.275,000, negociado al 6.5%
de interés anual a un plazo de 5 años. Los pagos de capital e intereses se harán
mensualmente.

Answers

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"In using the net present value approach, a project is acceptable if the project's net present value is ____________ or_______________."

Answers

Answer:

Zero or Positive.

Explanation:

The project should be accepted if the NPV (net present value) is “zero” or “positive” because the zero value means that the project will not be in loss. However, the positive value shows that the project will give profit. But if there is a negative value of net present value then it reflects that the project is giving a loss. Therefore, the project with negative NPV must be rejected. And the project that has zero net present value or positive net present value should be accepted.

Cecilia is observing assembly line workers performing their tasks. She's watching to see who they interact with, what machines they use, and how much they are supervised. Cecilia is most likely conducting a:_________.
A) work flow analysis.
B) performance appraisal.
C) job redesign.
D) job analysis.

Answers

Answer:

Option D (Job analyses) is the correct choice.

Explanation:

Assessment including its particular characteristics of such a job profile by careful evaluation including a critical review of the systematic tasks, facilities needed, employment conditions, as well as development level in some kind of an employee typically as either a complementary approach towards a job description.Analysis of career helps in understanding which assignments are relevant and how they've been conducted out.  

Some other options don't apply to the format prescribed. So option D is indeed the right one.

If a firm pays labor $5 and receives a MPL of 10, while paying capital $100 and receiving a MPC of 100, to lower production costs it should hire more labor and less capital.
a. True
b. False

Answers

Answer:

True

Explanation:

Here, we want to evaluate the validity of the given statement whether true or false.

The correct answer is true.

For a firm that pays $5 labor and receives a MPL of 10, while paying capital of $100, and receiving a MPC of 100, to lower production costs, it should higher more labor and less capital.

Sonic Inc. manufactures two models of speakers, Rumble and Thunder. Based on the following production and sales data for June, prepare (a) a sales budget and (b) a production budget: Rumble Thunder Estimated inventory (units), June 1 750 300 Desired inventory (units), June 30 500 250 Expected sales volume (units): Midwest Region 12,000 3,500 South Region 14,000 4,000 Unit sales price $60 $90 a. Prepare a sales budget.

Answers

Answer: please see explanation column

Explanation:

                                                        Rumble Thunder

Estimated inventory (units), June 1 750 300

Desired inventory (units), June 30 500 250

Expected sales volume (units):

Midwest Region                           12,000 3,500

South Region                                14,000 4,000

Unit sales price                                 $60 $90

a)               Sonic Inc.  Sales Budget  for June

                        Unit Sales Vol Unit Selling price    Total Sales

Model Rumble:    

Midwest Region   12000      60         $720,000

South Region   14000      60          $840,000

Total   1,560,000

Model Thunder:    

Midwest Region 3500       $90           $315,000

South Region         4000       $90            $360,000

Total   $675,000

Total revenue from sales 1,560,000  + $675,000 =$2,235,000

B)               Sonic Inc.  Production budget for June

                                              Units Model Rumble Units Model Thunder

Expected units to be sold  26000                  7500

Add: Desired ending inventory   + 500                  +  250

Total units required                   26500                    7750

Less: Beginning inventory            - 750                     - 300

Total units to be produced  $25750                   $ 7450

Calculation :

Expected units to be sold =12,000  + 14,000 = $26,000

                                               3,500 + 4,000 = $7,500

Total units required=Expected units to be sold+ Desired ending inventory

26000 +500 =$26,500

7,500 +250= $7,750

XYZ, Inc. has a beta of 0.8. The yield on a 3-month T-bill is 5%, and the yield on a 10-year T-bond is 7%. The market risk premium is 5.5%, and the return on an average stock in the market last year was 20%. What is the estimated cost of common equity using the CAPM? Show your work

Answers

Answer:

the estimated cost of common equity using the CAPM is 11.40 %.

Explanation:

Cost of Equity = Return on the Risk Free Security + Beta × Return on Market Portfolio

                       = 7.00 % +  0.8 × 5.5%

                       = 11.40 %

The estimated cost of common equity using the CAPM is 11.40 %.

Calculation of the cost of common equity;

Since the return on risk-free rate is 7%, beta is 0.8 and, the market risk premium is 5.5%

So here the cost of common equity should be

= Return on the Risk Free + Beta × Market risk premium

= 7.00 % +  0.8 × 5.5%

= 11.40 %

Hence, The estimated cost of common equity using the CAPM is 11.40 %.

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assume the following information about the market and JumpMaster's stock. JumpMaster's beta = 1.50, the risk free rate 2%, the market risk premium is 10.0%. Using CAPM, what is the expected return for JumpMaster's stock?

Answers

Answer:

Expected market return = 17%

Explanation:

Given the Jump master’s beta = 1.50

Risk free rate = 2%

Market risk premium  = 10%

To find the expected return we have to use the below formula.

Expected market return = Riskfree rate + Beta × Market risk premium

Now insert all the values in order to get the expected market return.

Expected market return = 2 + 1.50 × 10

Expected market return = 17%

Other Questions
The five-number summary for the number of touchdowns thrown by each quarterback in the British Football League is shown in the following table. About what per cent of quarterbacks in the British Football League threw more than 13 touchdowns? With the aid of an illustrative example, discuss the relationship between the area of a region and the definite integral.* The profitability, P, of a popular restaurant franchise can be modeled by the function P (t) = t4 10t3 + 33t2 36t, where t is the number of months since the restaurant opened. How many months after the franchise opens will it begin to show a profit? 1 month 3 months 4 months 0 months Why do scientists need to be able to use math? Computing cash flows from financing LO P3 Additional short-term borrowings $ 20,000 Purchase of short-term investments 5,000 Cash dividends paid 16,000 Interest paid 8,000 Compute cash flows from financing activities using the above company information. (Amounts to be deducted should be indicated by a minus sign.) The expression is 3 (x+4)-(2x+7) what is that equivalent too On April 26, 1986, Reactor 4 at the Chernobyl Nuclear Power Station in Ukraine exploded, releasing radioactive isotopes into the air. The majority of the isotopes that were released and spreading thousands of miles were of the element iodine. As a class, discuss what endocrine glands would be most affected and how it would become apparent in the nearby population. write 39/5 as a mixed numer What are the basic characteristics of object-oriented analysis and design (OOAD)? How does OOAD compare to structured analysis and design (SAD)? Picture shown!Complete the remainder of the table for the given function rule y= -3x+4x | -8 -4 0 4 8y | 28 ? ? ? ? The sentence "the length of a rectangle is 6 feet more than the width" can be translated as / = 6 + w.O False0 True The probability of drawing a red candy at random from a bag of 25 candies is 2/5.After 5 red candies are removed from the bag, what is the probability of randomly drawing a red candy from the bag?Please include an explanation! Where did your Christ come from? Where did your Christ come from? From God and a woman! Man had nothing to do with Him.How does this quotation support the central idea of the speech?It reinforces the idea that Truths personal experiences have greatly influenced her ideas.It reminds the audience that Truth has strong spiritual and political ideals.It supports that idea that women deserve equality by referencing religious authority.It affirms the notion that religion cant be used as a basis for unequal treatment. Dylan paid $3.50 for 12 folders. How much would be pay for 30 folders? "Acidic" is an appropriate description for four of the following. Which one is the exception? A). Soup and ammonia B). HCI C). Excess hydrogen ions D). The contents of the stomach E). A pH less then 7 A box contain 12 balls in which 4 are white 3 are blue and 5 are red.3 balls are drawn at random from the box.find the chance that all three are selected Evaluate 2x+3x+2 for x= -2 PLEASE HELP! (3/4) - 50 POINTS - How did religion play a part in imperialism? (Europeans 1800 and early 1900) Here's a graph of a linear function. Write theequation that describes that function.Express it in slope-intercept form.