You estimate you'll need $200,000 per year for 25 years starting on your 65th birthday to live on during your retirement. Today is your 50th birthday and you want to make equal deposits into an account paying 9% interest per year, the first deposit today and the last deposit on your 64th birthday. How much must each deposit be (rounded to the nearest $10)

Answers

Answer 1

Answer:

$66,909

Explanation:

Calculation for How much must each deposit be (rounded to the nearest $10)?

First step is to calculate the PV using financial y

N= 25

PMT= 200,000

FV= 0

i/y= 9

PV= ?

Hence,

PV= 2,141,322

Now let How much must each deposit be by finding the PMT using financial calculator

N= 15

FV= 2,141,322

PV=0

i/y= 9

PMT= ?

Hence,

PMT=$66,909

Therefore How much must each deposit be is $66,909


Related Questions

A company is determining which of two​ suppliers, Supplier A or Supplier​ B, should be used to source a component part. The company has developed the weights to evaluate the suppliers. The purchasing manager for the company has assigned the raw scores to the two suppliers.

Factors Weight
Technical 0.15
Managment 0.15
Quality 0.20
Delivery 0.25
Price 0.25

The purchasing manager for the company has assigned the following raw scores to the two suppliers:

Factors Supplier A Raw Score Supplier B Raw Score
Technical 80 95
Management 90 85
Quality 70 80
Delivery 85 90
Price 95 85

Use a​ weighted-factor analysis to identify the supplier that the company should use to source the component part.

Answers

Answer:

The Total Weight Score of Supplier B > The Total Weight Score of Supplier A  

Explanation:

So, in this question we are asked to use the weighted-factor analysis to decide the supplier. Hence, it is a decision making method using weights which are given.

Supplier A Calculations:

First of all, we need to calculate the weight score for each factor.

And the formula to calculate the weight score is = Raw score multiply by weight.

For Technical Factor:

Weight score = 0.15 x 80

Weight score = 12

Similarly,

For Management Factor:

Weight score = 0.15 x 90

Weight score = 13.5

For Quality Factor:

Weight score = 0.20 x 70

Weight score = 14

For Delivery Factor:

Weight score = 0.25 x 85

Weight score = 21.25

For Price Factor:

Weight score = 0.25 x 95

Weight score = 23.75

Similarly, we have to calculate the weight for Supplier B for each factor as well.

Supplier B calculations:

For Technical Factor:

Weight score = 0.15 x 95

Weight score = 14.25

For Management Factor:

Weight score = 0.15 x 85

Weight score = 12.75

For Quality Factor:

Weight score = 0.20 x 80

Weight score = 16

For Delivery Factor:

Weight score = 0.25 x 90

Weight score = 22.5

For Price Factor:

Weight score = 0.25 x 85

Weight score = 21.25

Now, we have to calculate the real weight of suppliers by adding together the individual weight scores of each supplier and then compare between them to decide, which one to choose.

For Supplier A:

Total Weight Score = 12 + 13.5 +14 + 21.25 + 23.75

Total Weight Score = 84.5

Similarly,

For Supplier B:

Total Weight Score = 14.25 + 12.75 + 16 + 22.5 + 21.25

Total Weight Score = 86.75

Conclusion:

The Total Weight Score of Supplier B > The Total Weight Score of Supplier A

Hence, Supplier B should be selected.

If the firm has 200,000 common shares outstanding, zero preferred shares, and debt with a market value of $10,000,000 what would be the value of each share

Answers

The complete question is:

Acme Medical Corp. is expecting the cash flows from 2018-2022 in the table below. After 2022 it is expecting growth in cash flow at an annual rate of 3%. The firm has determined that its weighted average cost of capital (discount rate) is 7%. Using the table below calculate the following:

Year Cash flow

2018 500,000

2019 550,000

2020 620,000

2021 700,000

2022 800,00

Answer: Share value = $36.23

Explanation:

First of all we need to calculate the present value of future cash flows of the company

Weighted average cost of capital is given as 7% so discounts will be made against 1.07

Present value = 500,000/(1+0.07) + 550,000/(1+0.07)^2 + 620,000/(1+0.07)^3 +700,000 /(1+0.07)^4 + 800,000/(1+0.07)^5 + [(824,000/0.04)/(0.07)^5]

Present value =$17,245,716.59

Share value will be present value of future cash flows minus market value of the company, and divided by number of shares

Share value = (17,245,716.59 - 10,000,000) ÷ 200,000

Share value = $7,245,716.59 ÷ 200,000

Share value = $36.23

sam has an ivestment of 200 that is expected to earn 10%. how much will the investment be worth at the end of the first year if the investment earns simple interest

Answers

Answer:

$220

Explanation:

Calculation for How much will the investment be worth at the end of the first year if the investment earns simple interest

Investment worth=$200+(10%*$200)

Investment worth=$200+$20

Investment worth=$220

Therefore How much will the investment be worth at the end of the first year if the investment earns simple interest is $220

Question 3 of 25
During which events is it most likely that sheltering in place is the best option?
Select the 3 answer options that apply.

Tornado
Chemical release
Fire
Biological contaminant release

Answers

Answer:

Tornado ,Chemical release and Biological contaminant release

Explanation:

I just took it.

In general, the production and use of capital ________ the productivity of labor and normally ________ wages.

Answers

Answer:

In general, the production and use of capital ENHANCES the productivity of labor and normally DRIVES UP wages.

Explanation:

capital refers to tools, machinery or equipment used in the production of goods or services. They all help to increase the productivity of workers. As the productivity increases, so do salaries (generally speaking). For example, a person that paints using a common brush will paint 10 yards per hour, while someone that uses a painting machine will paint 50 yards per hour. Since using a painting machine yields a much higher return, but also requires additional knowledge, the worker is paid a higher wage.

In a dispute between Cloud Computing Corporation and Digital Enterprises, Inc., the court applies the doctrine of stare decisis. What is this doctrine

Answers

Answer and Explanation:

Stare decisis is a legal doctrine that creates a liability on the court to follow the historical cases at the time when the ruling would be made in the same case. Also the cases that have the same type of situations and the facts should be approached in the similar way. This term is a latin that means to stand whenever it is decided

Answer:

Under this doctrine, judges are obligated to follow the precedents established within their jurisdictions.

Explanation:

Bond Corporation issues 5,000, 10-year, 8%, $1,000 bonds dated January 1, 2017, at 103. The journal entry to record the issuance will show a

Answers

Answer and Explanation:

The journal entry to record the issuance of the bond is as follows:

Cash Dr (5,000 × 103) $515,000

Discount on bond payable Dr $4,485,000

        To Bond payable (5,000 × $1,000)  $5,000,000

(Being the issuance of the bond is recorded)

Here cash and discount on bond payable is debited and credited the bond payable

Can someone please help what’s the answer

Answers

Answer:

$161,000

Explanation:

Snap repair service accepted the seller counteroffer of $161,000. It means that Snap repair service paid the sum of $161,000 to acquire the land. Snap repair should record the value of the land as $161,000.

As per the guidelines of the generally accepted accounting principles, the value to be recorded is the amount paid to acquire the asset.

Laissez-faire is an economic: Multiple Choice precept because it is the logical conclusion of a model with widely held assumptions. theorem because it is the logical conclusion of a model with carefully stated relationships among variables. precept because it is based on a model and normative judgments about the relevance of the model to the real world. theorem because it is based on deductive analysis of a model that is based on assumptions.

Answers

Answer:

Option C (Precept............real world) is the right answer.

Explanation:

Laissez-faire economics seems to be a hypothesis that always constrains government interference.

It maintains that perhaps the financial sector was indeed particularly strong since all the current regime was doing was safeguard the freedom of persons. Subsequently, free-market statisticians predicated on the premise of laissez-faire mostly as an approach to sustainable economic success, because while critics disparaged it for helping to promote unfairness.

The other actions taken are not connected to the circumstance in question. That would be the right response to the above.

How do you plan to become a responsible consumer? ​

Answers

Answer:

Do not be a Karen :) No no I'm just kidding- a way to be is respect, make sure ur patent, if you talking about the other meaning to it which is eating something the answer for that is to not be picky uhhh yeah I hope this helped

also I know I'm weird forgive me-

Blossom Industries produces and sells a cell phone-operated home security control. Information regarding the costs and sales of security controls during May 2020 are provided below.

Unit selling price of security control $49
Unit variable costs $28
Total monthly fixed costs $126,000
Units sold 8,300

Required:
Prepare a CVP income statement for Blossom Industries for the month of May.

Answers

Answer and Explanation:

The preparation of the CVP income statement for the month of May is presented below:

Sales (8,300 units × $49) $406,700

Less: Variable cost (8,300 units × $28) -$232,400

Contribution margin $174,300

Less: Fixed cost -$126,000

Net income $48,300

Which type of market structure has many small firms that spend money in order to differentiate their products through advertising

Answers

Answer:

c. Monopolistic Competition

Explanation:

Multiple Options "a. Monopoly b. Oligopoly c. Monopolistic competition d. Perfect competition"

Monopolistic Competition is the type of market structure that has many small firms that spend money in order to differentiate their products through advertising. Here, the products are differentiated and the buyers are made aware of these differences through advertising and promotion. These costs represent a significant part of the total cost under monopolistic competition.

Answer:

Monopolistic competition

n order to build a new warehouse facility, the regional distributor for Valco Multiposition Valves borrowed $1.6 million at 12% per year interest. If the company repaid the loan in a lump sum amount after 2 years, what was the amount of the payment

Answers

Answer:

the amount of the payment is $2,007,040

Explanation:

The computation of the amount of the payment is as follows:

= Borrowed amount × (1 + rate of interest)^number of years

= $1,600,000 × (1 + 0.12)^2

= $2,007,040

We simply applied the future value formula to determine the amount of the payment

Hence, the amount of the payment is $2,007,040

At which rate is total utility increasing: a constant rate, a decreasing rate, or an increasing rate

Answers

Answer:

a decreasing rate.

Explanation:

Total utility of an individual is the satisfaction which is achieved by consuming one additional unit of good. When a person achieves more goods his marginal utility declines. When the total utility is increased, the rate of utility is decreasing.

afford that. (shouldnt, cant)
11. Circle the collective noun that best fits in the sentence.
1. The ( classroom/herd ) of students read the directions on th
2. Sailing around the (flock / chain of islands, the crew of sa
3. Bears fish in the river as the clouds / runs ) of salmon swa
4.
I ate a (plate / flock) of rice.
5. Running late, I ran up ( flights/pods ) of stairs in record ti
6. Looking up at the sky, I had a glimpse of the packs / gala
7. After the holidays, we had (colonies / heaps) of trash.
Grade 08 - English
(4)
Copying and imita
publishers law!​

Answers

Answer:

Classroom

Chain of Islands

Runs

Plate

Flights

Gala

Heaps

Explanation:

What is a broadcast? What pathway do you find this in?

Answers

Answer:

A broadcast is when people talk into the radio and play music and talk like news i think (not sure but hope it helps)

Explanation:

dont know your other ques

Answer:

A broadcast is a frame that is sent from one device and is sent to every other device in that broadcast domain. You can find broadcasts by looking for the IP address and the subnet mask.

Explanation:

Hope this helps! ^^

what is vegetable farming?​

Answers

Vegetable farming is the growing of vegetables for human consumption. The practice probably started in several parts of the world over ten thousand years ago, with families growing vegetables for their own consumption or to trade locally.



hope this helps <33

BJ Corporation is a cash-basis business. BJ signed a six-month, 12% note payable of $5,000 on October 1st, 2022. By recording the interest expense related to the note only when it is paid on April 1st, 2023, BJ will understate expenses by ________ on its year-end financial statements on December 31st, 2022. A : $5,600 B : $300 C : $0 D : $150

Answers

Answer:

D : $150

Explanation:

The computation of the interest expense understated is given below:

= Note payable amount × rate of months × given months ÷ number of months

= $5,000 × 0.12 × 3 months ÷ 12 month

= $150

Hence, the interest expense that would be understate by $150

Therefore the correct option is d.

The following information is available for Crane Company
Accounts receivable $3,300
Accounts payable 4,100
Interest payable 580
Salaries and wages expense 4,900
Notes payable 31,500
Common stock 50,400
Inventory 2,940
Cash $6,310
Supplies 3,880
Unearned service revenue 820
Service revenue 42,100
Salaries and wages payable 850
Depreciation expense 600
Equipment (net) 109,800
Using the information above, prepare a balance sheet as of December 31, 2022. (List assets in order of liquidity

Answers

Answer:

Crane Company

Balance Sheet

As of December 31, 2022:

Assets

Current Assets:

Cash                           $6,310

Accounts receivable   3,300

Supplies                       3,880

Inventory                     2,940

Total current assets                $16,430

Long-term Assets:

Equipment (net)                      109,800

Total assets                          $126,230

Liabilities and Equity

Current Liabilities:

Accounts payable                     4,100

Interest payable                          580

Salaries and wages payable      850

Unearned service revenue        820

Total current liabilities          $6,350

Long-term Liabilities:

Notes payable                       31,500

Total liabilities                    $37,850

Equity:

Common stock       50,400

Retained Earnings 37,980

Total equity                      $88,380

Total liabilities + equity  $126,230

Explanation:

a) Data and Calculations:

Trial Balance

Cash                             $6,310

Accounts receivable     3,300

Supplies                         3,880

Inventory                       2,940

Equipment (net)        109,800

Depreciation expense    600

Salaries & wages exp. 4,900

Accounts payable                         $4,100

Interest payable                                580

Salaries and wages payable            850

Unearned service revenue              820

Notes payable                               31,500

Common stock                            50,400

Service revenue                           42,100

Retained earnings                          1,380

Totals                       $131,730   $131,730

Beginning Retained Earnings $1,380

Net income                             36,600

Ending Retained earnings   $37,980

Income Statement for the year ended December 31, 2022:

Service revenue                     $42,100

Depreciation expense                  600

Salaries and wages expense    4,900

Total expenses                        $5,500

Net income                            $36,600

What is the unemployment rate if there are 160 million people employed, 10 million people unemployed, and 20 million not in the labor force

Answers

Answer:

7.14%

Explanation:

With regards to the above, we can calculate the unemployment rate as!

= Unemployed people/labor force × 100

= 10,000,000 /140,000,000 × 100

= 7.14%

Assign each of the following to the correct category: A full-time college student multiple choice 1 Employed Unemployed Not in the labor force An accountant working full time

Answers

Answer:

unemployed

employed

Explanation:

For each macroeconomic viewpoint, identify whether it is a position held by classical economists, Keynesian economists, or monetarists. If the viewpoint is shared by more than one group, check all that apply.

a. A decrease in aggregate demand will only lead to a temporary departure from full employment output. Since prices and wages are flexible, the economy will automatically adjust to full employment in the long run.
b. The velocity of money, while not constant, is predictable.

Answers

Answer:

a. Classical theory

b. Monetarist school.

Explanation:

Classical theory assumes that the fall in aggregate demand will create temporary affect on employment and ;later in the long run economy will adjust itself and will be at full employment automatically. Keynesian theory believes that demand is the factor which drives the economy. If the economy is at recession then efforts should be made to increase demand which will turn the economy growth upright.

The following graph represents the cost and revenue functions for custom-made computers. How many computers have been sold at the break-even point? A graph has sales on the x-axis and cost times 100 on the y-axis. The cost line goes through (0, 5) and (12, 9). The revenue line goes through (0, 0) and (12, 9). The lines intersect at (12, 9). a. 12 b. 9 c. 5 d. 0 Please select the best answer from the choices provided A B C D

Answers

Answer:

It would be 12

Explanation:

just did the test

Answer:

a

Explanation:

edg 20/21

Each of the three independent situations below describes a finance lease in which annual lease payments are payable at the beginning of each year. The lessee is aware of the lessor's implicit rate of return. (FV of $1, PV of $1, FVA of $1, PVA of $1, FVAD of $1 and PVAD of $1) (Use appropriate factor(s) from the tables provided.)
Situation
1 2 3
Lease term (years) 12 20 4
Lessor’s rate of return (known by lessee) 11% 9% 12%
Lessee’s incremental borrowing rate 12% 10% 11%
Fair value of leased asset $620,000 $1,000,000 $205,000
Required:
a. Determine the amount of the annual lease payments as calculated by the lessor and above situations.
b. Determine the amount lessee would record as a leased asset and a lease liability for above situations.

Answers

Answer:

Answer is explained in the explanation section below.

Explanation:

Data Given:

Situations:

Lease Term years:

1. 12

2. 20

3. 4

Lessor’s rate of return (known by lessee):

1. 11%

2. 9%

3. 12%

Fair value of leased asset:

1. $620,000

2. $1,000,000

3. $205,000

a)  For Situation 1:

Here, lease is a financial agreement between two parties Lesse and Lessor.

So,

Formula for annual lease payments is:

Annual lease payments = Fair value of assets divided by Present value for annuity due.

Here,

we use the following data to calculate the annual payments.

Fair Value of Assets of the leased asset = $620,000

Lease term = 12 years

Lessor's rate of return = 11%

So, the present value of annuity due 12 years at the rate of 11% is 7.2065

Plugging in the values in the formula we get:

Annual lease payments = [tex]\frac{620,000}{7.2065}[/tex]

Annual lease payments = $86,033.44

b)

Formula for the lease ability = Annual rent payment multiply by present value of annuity due.

So,

The annual rent payment is the same that we calculated above.

So,

the lease ability = $86,033.44 x 7.2065

the lease ability = $620,000

For Situation 2:

a)

Annual lease payments = Fair value of assets divided by Present value for annuity due.

we use the following data to calculate the annual payments.

Fair Value of Assets of the leased asset = $1,000,000

Lease term = 20 years

Lessor's rate of return = 10%

So, the present value of annuity due 20 years at the rate of 9% is 9.9501

Annual lease payments = [tex]\frac{1,000,000}{9.9501}[/tex]

Annual lease payments = $100,501.35

b)

Formula for the lease ability = Annual rent payment multiply by present value of annuity due.

the lease ability = $100,501.35 x 9.9501

the lease ability = $1,000,000

For Situation 3:

a)

Annual lease payments = Fair value of assets divided by Present value for annuity due.

we use the following data to calculate the annual payments.

Fair Value of Assets of the leased asset = $205,000

Lease term = 4 years

Lessor's rate of return = 12%

So, the present value of annuity due 4 years at the rate of 12% is 3.4081

Annual lease payments = [tex]\frac{205,000}{3.4801}[/tex]

Annual lease payments = $60,261.66

b)

Formula for the lease ability = Annual rent payment multiply by present value of annuity due.

the lease ability = $60,261.66 x 3.4801

the lease ability = $205,000

We try to determine if we can use educational background, interests, and gender to see if an individual's annual income differs in terms of their educational background, which test should we use

Answers

Answer:

Multiple regression

Explanation:

With regards to the above, multiple regression can be used to determine one educational background, interest and gender so as to see if there is a variation in terms of individual's annual income as it relates to their educational background.

Multiple regression basically is a mathematical model, which is used when one value is matched with two or more variables. Here, the value is a stand alone, which is why we study, while the variables are dependent; hence are factors that required to be checked and why the whole analysis is being conducted.

In the above scenario, the value being represented is 'annual income' which is independent, while educational background, interest and gender are variables which are independent.

Imagine that you want to buy a limited edition book for $100, the publisher decides that consumers won't buy the book at a price higher than $100, so only 500 books are printed. If the publisher turns out to be wrong, and consumers demand 10,000 books, the price will rise (as demand increases, so does price). This rise in price should then prompt the publisher to print more books because the higher the price, the higher the quantity supplied. Find another product that you use everyday and for which the market would react the same way

Answers

9514 1404 393

Answer:

  gasoline

Explanation:

The price of gasoline rises dramatically when there is a perceived shortage. That price rise, in turn, causes producers to seek out sources of supply that previously had been considered uneconomical.

Answer:

Gasoline

Explanation:

#CARRYONLEARNING

Bonita Corporation purchased a truck at the beginning of 2020 for $54,500. The truck is estimated to have a salvage value of $2,180 and a useful life of 174,400 miles. It was driven 25,070 miles in 2020 and 33,790 miles in 2021. Compute depreciation expense using the units-of-production method for 2020 and 2021.

Answers

Answer: depreciation expense for 2020 and 2021= $7, 521 and$10,137 respectively.

Explanation:

Depreciation  cost = Purchase cost - Salvage value

= $54,500 - $2, 180

= $52,320

Given that useful life = 174,400 miles, we have that the

Depreciation per mile = Depreciation cost / useful life in miles

=$52,320/174,400 = $0.30 per mile

2020 Depreciation expense  = 25, 070 X $0.30 = $7, 521

2021 Depreciation expense  = 33,790 X  $0.30 = $10,137

Discuss the differences between the short run equilibrium and long run equilibrium from the perspective of producers and from the perspective of consumers. Why do you think it is important for managers to understand the mechanics of supply and demand in the short run and in the long run? Give an example of a company whose business was either helped or hurt by changes in supply or demand in the markets in which they were competing

Answers

Answer:

In the long-run, the economy tends to favor consumers more than it favors producers.

Explanation:

This is because, in competitive market structures, firms earn economic profit only in the short-run, but in the long-run, this economic profit either disappears, or decreases substantially, because the structure of the market itself provides incentive for a dynamic flux of firms in and out of the industry, and economic profit moves along that flux: it goes up when the number of firm in the industry goes down, and it goes down when the number of firms in the industry goes up.

Managers should understand these dynamics in order to be able to forecast trends and act accordingly, mainly by developing corporate strategy that tackle the forecasted scenarios.

Finally, an example of a business affected by a fall in demand is airline companies. The airline market is very competitive even if it is dominated by a few firms due to very high barriers to entry and exit. Airline companies are constantly pressured to offer lower prices, while costs do not necessarily fall at the same rate. The recent demand shock due to the current pandemic has left most airlines in a dire condition, using up past reserves to operate, and frequently in need of government assistance.

On January 1, 1980, Jack deposited 1,000 into Bank X to earn interest at the rate of j per annum compounded semi-annually. On January 1, 1985, he transferred his account to Bank Y to earn interest at the rate of k per annum compounded quarterly. On January 1, 1988, the balance at Bank Y is 1,990.76. If Jack could have earned interest at the rate of k per annum compounded quarterly from January 1, 1980 through January 1, 1988, his balance would have been 2,203.76. Calculate the ratio kjkj.

Answers

Answer:

Ratio k/j is 1.25.

Explanation:

Note: There is a slight typographical error in the requirement. The requirement is therefore correctly stated as follows:

Calculate the ratio k/j.

The explanation of the answer is given as follows:

This can be calculated using the following formula:

A = P (1 + (r / m))^(tm) ……………………….. (1)

Where;

A = Balance

P = Amount invested

r = annual interest rate

t = number of years

m = number of compounding

From the question, there are 2 alternatives as follows:

Alternative A

For Bank X

P1 = $1,000

r1 = j

t1 = number of years from 1980 to 1985 = 5

m1 = semiannual = 2

A1 = Amount transferred to Bank Y = P2 = ?

For Bank Y

P2 = ?

r2 = k

t2 = number of years from 1985 to 1988 = 3

m2 = quarterly = 4

A2 = $1,990.76

Alternative B

For Bank Y only

P3 = $1,000

r3 = k

t3 = number of years from 1980 to 1988 = 8

m3 = quarterly = 4

A3 = $2,203.76

For Bank Y in alternative B, we can use equation (1) and solve for k as follows:

2,203.76 = 1000 * (1 + (k / 4))^(8 * 4)

2,203.76 / 1000 = (1 + (k / 4))^32

2.20376 = (1 + (k / 4))^32

2.20376^(1/32) = 1 + (k / 4)

1.02500004450895 = 1 + (k / 4)

1.02500004450895 - 1 = k / 4

0.02500004450895 = k / 4

k = 0.02500004450895 * 4

k = 0.10

For Bank Y in alternative A, we can use r2 = k = 0.10. Therefore, using equation (1) for Bank Y in alternative A, we can solve for P2 as follows:

1,990.76 = P2 * (1 + (0.10 / 4))^(3 * 4)

1,990.76 = P2 * 1.3448888242463

P2 = 1,990.76 / 1.3448888242463

P2 = $1,480.24

From Bank X in alternative A, we now have A1 = P2 = $1,480.24. For Bank X in alternative A, we can now use equation (1) and solve for j as follows:

1,480.24 = 1,000 (1 + (j / 2))^(5 * 2)

1,480.24 / 1,000 =(1 + (j / 2))^10

1.480.24 =(1 + (j / 2))^10

1.480.24^(1 / 10) = 1 + (j / 2)

1.03999969894693 - 1 = j / 2

0.03999969894693 = j / 2

j = 0.03999969894693 * 2

j = 0.08

Since k = 0.10 and j = 0.08, ratio k/j can be calculated as follows:

Ratio k/j = 0.10 / 0.08

Ratio k/j = 1.25

HELP HELP HELP 10 POINTS!!!!!!!!!!!!!! PICTURE PROVIDED!!!!!

Answers

consumable
Services
Durable
Other Questions
what is the effect of times being descrided as ''heavy'' in paragraph 45 Which are considered types of credit available to borrowers I WILL MARI YOU BRAINLEST PLEASE HELP A. Whichgumis the better deal ateach store? Which store has thebest deal overall?Store 1Orbit - 14 pieces for $1.29Wrigley - 15 pieces for $1.19Store 2Orbit -81 pieces for $7.81Wrigley - 5 pieces for $0.55Store 3Icebreakers - 10 pieces for $3.98Store brand - 100 pieces for $9.98 True or false cleavage and fracture refer to the same way in which a mineral breaks WILL MARK BRAINLIEST!!!!!!Which sentence has a pronoun that disagrees with its antecedent?All the parents decided they wanted their pie without ice cream.I told myself this would be very difficult, but it was not.Henry makes a pie every week because she loves it so much.Every person in the troop wanted his pie with ice cream. The time it takes the Moon to go from new moon to full moon and back to new moon is about One father is 70 inches tall and the residual for his sons height is 2.5. What is the sons actual height?71.7 inches74.2 inches76.7 inches82.3 inches What was a direct result of the 2010 census? Write a summary of the early spread of Islam. Include these events: Muhammads death, the caliphs unify Arabia, Alis election to the caliphate, the Muslim entry into Spain, and the Battle of Tours. If f() = -2x+8, find f(3) 1. Timmy worked hard throughout their High School career and felt that he could apply to Ivy League schools across the country. They were unable to get accepted to any.First Thoughts: Applying Sociological Perspective: Which of the following was a farming tool used by the farming tribes on the Great Plains?A. bullboatsB. digging sticksC. travoisD. spear points Where are all my fellow gays?? a line has a slope of 9/5 and the point (-10, -16). which of the following could be another point on the line?A. (-5, -6) B. (0,2)C. (4, 11)D. (10, 22) How do anabolic pathways yield energy?A. By decomposing glucose molecules.B. By bonding water and carbon.C. By removing electrons.D. By decomposing other organic fuels. Find the oth term of the geometric sequence 7, 14, 28, ... Explain the difference between yellow journalism and traditional journalism. Identify two major newspaper or figures in journalism history, one that represents yellow journalism and one that represents traditional journalism. Need help with -9x - x + 3 + 5 HELPPP I NEED HELP QUICKKKKKCan anyone find a reliable source (preferably a .gov, .org, or .net website) that tells me where the Annexation of Hawaii took place? AND NO WIKIPEDIA!!! Iron atoms have been detected in the sun's atmosphere, some with many of their electrons stripped away. What is the net electric charge (in coulombs) of an iron atom with 26 protons and 12 electrons