Iraqi Currency
After the invasion of Iraq and the removal of Saddam Hussein, a provisional government was established to help get the country back on its feet. As part of the process, the government had to revise the country's monetary system and currency, which created a crisis for the Iraqi dinar.
No matter what a particular society uses for money, its primary purpose is to enable a person or organization to transform a desire into an action. These desires may be for entertainment actions, such as party expenses; operating actions, such as paying for rent, utilities, or employees; investing actions, such as buying property or equipment; or financing actions, such as starting or growing a business. Money serves three important functions: as a medium of exchange, a measure of value, and a store of value.
Read the case below and answer the questions that follow.
After the invasion of Iraq and the removal of Saddam Hussein, a provisional government was established to help the country to get back on its feet. Part of the process of establishing a new Iraqi government involved revising its monetary system and currency. The government released a new form of the Iraqi dinar (IQD into circulation after it was redesigned and Saddam Hussein's picture was removed. The new bills were also printed in different colors that were more difficult to counterfeit than the currency from the old regime. More than 10,000 tons of old notes were destroyed after the circulation of the new currency.
Since about 1,160 dinars equal 1 U.S. dollar, the new dinar is printed in denominations of 50, 250, 1,000, 5,000, 10,000, and 25,000. When the currency was redesigned, small denominations were more popular because many retailers would not accept larger notes as payment, in part because of rumors that banks in Iraq would no longer accept 10,000 dinar notes. Therefore, the country had to print millions of 250 dinar notes so that Iraqi citizens could spend money to help revive the country's economy.
Although some Iraqis would like to tie the dinar to the U.S. dollar, few governments have been able to take this approach without major drawbacks. If the dinar is fixed to the U.S. dollar, the country could suffer even more instability when the U.S. dollar varies against other currencies. Of course, there is the concern that tying the dinar to the U.S. dollar might also confirm the U.S. is involved in imperialism. Ultimately, the dinar must become a symbol that the Iraqi people can trust.
1.
Iraqi's financial system can best be described as one based on _____.
a fiat system
"IOUs" that people trade
limited-supply commodities
linked to gold and other precious metals
2.
Many retailers would not accept large denominations. The retailers were concerned about which of the following functions of money?
Store of value
Measure of value
Medium of exchange
Divisibility
Portability
3.
Tying the dinar to the U.S. dollar might cause the value of the dinar to fluctuate with the value of the dollar. This causes issues with which of the following characteristics of money?
Stability
Acceptability
Portability
Divisibility
Durability
4.
The new dinars were printed in color. This addressed which of the following characteristics of money?
Difficulty to counterfeit
Acceptability
Foreign exchange rate
Stability
Portability
5.
Which of the following most likely explains why Iraq adopted a new monetary system?
It was necessary to build confidence in the dinar for it to remain as a store of value.
People were trading items that were no longer needed.
There were concerns about the portability of the old system.
There needed to be a new system with better divisibility.
The old system used materials that weren't very durable.

Answers

Answer 1

Iraqi's financial system can best be described as one based on a fiat system.

What is the Iraqi's financial system?  Iraqi's financial system can best be described as one based on a fiat system. This means that the value of the Iraqi dinar is not backed by a physical commodity like gold or silver but is instead based on the trust and confidence of the people and the government.

Many retailers would not accept large denominations because they were concerned about the medium of exchange function of money. Large denomination notes can be inconvenient for everyday transactions, and retailers may face difficulties in providing change or accepting them from customers.

 Tying the dinar to the U.S. dollar might cause issues with the stability characteristic of money. The value of the U.S. dollar fluctuates against other currencies, and if the dinar is fixed to it, the dinar's value would also fluctuate accordingly, leading to instability in the Iraqi economy.

The new dinars being printed in color addressed the difficulty to counterfeit characteristic of money. By introducing colors and intricate designs, the government made it more challenging for counterfeiters to reproduce the currency accurately, enhancing its security and acceptance.

 Iraq adopted a new monetary system to build confidence in the dinar and maintain it as a store of value. The previous regime's currency had lost credibility due to the association with Saddam Hussein. By redesigning the currency, removing his picture, and implementing measures to prevent counterfeiting, the new system aimed to instill trust in the dinar and facilitate its acceptance domestically and internationally.

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Related Questions

The table shows Jerry's total utility from burgers and magazines. The price of a burger is $2, the price of a magazine is $4, and Jerry has $12 a week to spend. Burgers Magazines QuantityTot Quantity Total per weekutilityper week utility When Jerry maximizes his total utility, what quantities of burgers and magazines does he buy in a week? 28 48 64 76 200 240 268 Jerry maximizes his total utility when he buys burgers andmagazines a week.

Answers

Jerry should buy 6 burgers and 3 magazines each week to maximize his total utility.

This principle states that as a consumer consumes more of a good, the additional satisfaction or utility they derive from each additional unit of the good decreases.

Looking at the table provided, we can see that as Jerry consumes more burgers and magazines, his total utility increases but at a decreasing rate. For example, going from 28 to 48 burgers increases Jerry's total utility by 20, whereas going from 200 to 240 burgers increases his total utility by only 40. The same pattern is observed for magazines.

Given Jerry's limited budget of $12 a week, we can use the prices of burgers and magazines to determine the maximum quantity of each good he can afford. With burgers costing $2 each, Jerry can afford to buy at most 6 burgers a week. With magazines costing $4 each, Jerry can afford to buy at most 3 magazines a week.

To determine the combination of burgers and magazines that will maximize Jerry's total utility, we need to find the point where the marginal utility per dollar spent on each good is equal.

In other words, we need to find the point where the additional satisfaction gained from spending one more dollar on burgers is equal to the additional satisfaction gained from spending one more dollar on magazines.

Using the table provided, we can see that the marginal utility per dollar spent on burgers is highest at the point where Jerry has consumed 64 burgers, and the marginal utility per dollar spent on magazines is highest at the point where Jerry has consumed 48 magazines.

Therefore, Jerry should buy 6 burgers and 3 magazines each week to maximize his total utility. In summary, Jerry should buy 6 burgers and 3 magazines each week to maximize his total utility, given his budget constraints and the principle of diminishing marginal utility.

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Audit procedures designed to uncover credit sales made after the client's fiscal year end that relate to the current year being audited provide evidence for which of the following audit objective?
A) Realizable value
B) Accuracy
C) Cutoff
D) Existence

Answers

The audit procedures designed to uncover credit sales made after the client's fiscal year-end that relate to the current year being audited provide evidence for the C) Cutoff audit objective.

The cutoff audit objective relates to ensuring that transactions are recorded in the appropriate accounting period.

involves verifying that revenue and expenses are recognized in the  period, based on the client's fiscal year-end.

In this case, the audit procedures aim to identify credit sales made after the fiscal year-end but recorded in the current year being audited. By doing so, the auditors can assess whether the cutoff of sales transactions has been appropriately applied. This helps determine if revenue is recorded in the  period and if the financial statements reflect the appropriate timing of sales.

The other audit objectives mentioned are:

A) Realizable value: This objective focuses on assessing the collectability of accounts receivable and determining if they are stated at a realistic value.

B) Accuracy: The accuracy objective pertains to verifying the mathematical accuracy of financial information and ensuring that it is free from material misstatements.

D) Existence: The existence objective relates to confirming the existence of assets, liabilities, and transactions, ensuring that they are valid and actually exist.

While these objectives are important in an audit, the specific scenario of uncovering credit sales made after the fiscal year-end aligns with the cutoff objective (C) as it addresses the timing of transactions.

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Marcus is considering whether he would make a good entrepreneur. How might preparing a detailed resume help him figure this out?
OA. all self-assessment tests require a resume
allows him to enter a meditative state
serves as a good first step in assessing one's skills and strengths
D. a multi-page resume guarantees success as an entrepreneur
B.
C.

Answers

Preparing a detailed resume to help him figure this out serves as a good first step in assessing one's skills and strengths. Thus, option (c) is correct.

Marcus might use a resume to discover and emphasize his entrepreneurial talents to potential employers. Entrepreneurial talents can include a wide range of skill sets such as technical capabilities, management and leadership abilities, and creative thinking.

Marcus can demonstrate his advantages and potential as an entrepreneur by emphasizing his technical capabilities, leadership and management skills, and other entrepreneurial qualities in his resume.

As a result, the significance of the preparing a detailed resume to help him figure this out are the aforementioned. Therefore, option (c) is correct.

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State Street Beverage Company issues $802,000 of 11%, 10-year bonds on Ma rch 31, 2017. The bonds pay interest on March 31 and September 30. Which of the following statements is true? A. If the market rate of interest is 12%, the bonds will issue above par B. If the market rate of interest is 12%, the bonds will issue at a premium. C. If the market rate of interest is 12%, the bonds will issue at pa. D. If the market rate of interest is 12%, the bonds will issue at a discount

Answers

To determine whether the bond will issue above par, at a premium, at par, or at a discount, we need to compare the stated interest rate (11%) with the market rate of interest (12%).

If the market rate of interest is higher than the stated interest rate, the bonds will typically be issued at a discount. This is because investors would require a higher return (interest rate) on their investment than what the bonds offer.

In this case, since the market rate of interest is given as 12%, which is higher than the stated interest rate of 11%, the  statement would be D. If the market rate of interest is 12%, the bonds will issue at a discount.

When bonds are issued at a discount, it means they are sold for less than their face value. The discount is calculated based on the difference between the face value of the bonds and the present value of the bond's cash flows using the market interest rate.

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a root widget's destroy method can be used as a callback function for a quit button.T/F

Answers

False. A root widget's destroy method should not be used as a callback function for a quit button. The destroy method is typically used to destroy or close the root widget and its child widgets, effectively ending the application.

It is not meant to be used as a callback function for a button, especially for a quit button.

When a quit button is clicked, it is generally intended to gracefully terminate the application and perform any necessary cleanup tasks. The appropriate approach is to define a separate callback function specifically for the quit button. This function can handle tasks such as closing windows, releasing resources, saving data, or performing any other required actions before exiting the application. Using the root widget's destroy method as a callback for a quit button can lead to unexpected behavior and potential issues in the application's functionality and user experience.

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marketing practices that potentially cause harm to consumer interests would not be classified into one of the following categories: a. unfair pricing b. intrusion and over-commercialism c. compulsive consumption

Answers

Marketing practices that potentially cause harm to consumer interests would not be classified into the category of compulsive consumption.

Unfair pricing refers to practices such as price gouging, deceptive pricing, or discriminatory pricing that can exploit consumers and result in financial harm. Intrusion and over-commercialism relate to invasive advertising techniques, excessive marketing messages, or manipulative tactics that may infringe upon consumer privacy or lead to dissatisfaction. On the other hand, compulsive consumption refers to excessive and uncontrollable buying behavior where individuals engage in repetitive purchasing without considering the consequences. While this behavior can be detrimental to individual financial well-being, it does not necessarily involve marketing practices that harm consumer interests directly. Therefore, the correct answer is c. compulsive consumption as it does not pertain to marketing practices that potentially cause harm to consumer interests.

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Consider a call option. If, in a two-state model, a stock can take a price of $120 or $90, what would be the hedge ratio for each of the following exercise prices. $120, $110, $100, 590? (Leave no cells blank-be certain to enter "O" wherever required. Round your answers to 2 decimal places.) Hedge Ratio $120 $180 Se References b. What do you conclude about the hedge ratio as the option becomes progressively more in the money? Increases to a maximum of 10 Decreases to a minimum of

Answers

The hedge ratio for a call option varies with the exercise price and stock prices are 0.33, 0.67, 1.00, 0.67, As the option becomes more in the money, the hedge ratio Increases to a maximum of 1.0. So, the correct answer is 1).

Exercise price: $120

Stock prices: $120, $90

Hence, the hedge ratio = (Value of call with stock price $120 - Value of call with stock price $90) / ($120 - $90)

= (max(0, 120 - 120) - max(0, 90 - 120)) / (120 - 90)

= 0.33

Exercise price: $110

Stock prices: $120, $90

Hence, the hedge ratio = (Value of call with stock price $120 - Value of call with stock price $90) / ($120 - $90)

= (max(0, 120 - 110) - max(0, 90 - 110)) / (120 - 90)

= 0.67

Exercise price: $100

Stock prices: $120, $90

Hence, the hedge ratio = (Value of call with stock price $120 - Value of call with stock price $90) / ($120 - $90)

= (max(0, 120 - 100) - max(0, 90 - 100)) / (120 - 90)

= 1.00

Exercise price: $90

Stock prices: $120, $90

Hence, the hedge ratio = (Value of call with stock price $120 - Value of call with stock price $90) / ($120 - $90)

= (max(0, 120 - 90) - max(0, 90 - 90)) / (120 - 90)

= 0.67

As the option becomes progressively more in the money, the hedge ratio approaches 1.0, meaning that one can fully hedge the option by buying one share of stock per option contract. So, the correct answer is 1).

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--The given question is incomplete, the complete question is given

" Consider a call option. If, in a two-state model, a stock can take a price of $120 or $90, what would be the hedge ratio for each of the following exercise prices. $120, $110, $100, 590? (Leave no cells blank-be certain to enter "O" wherever required. Round your answers to 2 decimal places.)

b. What do you conclude about the hedge ratio as the option becomes progressively more in the money?

1)  Increases to a maximum of 1.0

2) Decreases to a minimum of 0 "--

While comparing 'Notes and Mortgages', which one of the following statements is False about 'Notes'?
1.You can borrow money only if you pledge something
2. The legal instrument is not recorded in the County Office/ Recording Office.
3. It is more personal and mostly an 'I.O.U' to an individual.
4. Mortgages use 'property' as a collateral.

Answers

Statement number 2 is false about 'Notes'.

Notes' are a legal instrument that represents a promise to repay borrowed money. It can be used to borrow money without pledging any collateral. 'Notes' are typically recorded in the County Office/Recording Office for legal purposes. It is a personal agreement between the borrower and the lender and is often referred to as an 'I.O.U.'

On the other hand, 'Mortgages use property as collateral to secure a loan. This means that if the borrower fails to repay the loan, the lender can foreclose on the property to recover the outstanding debt.

In summary, while comparing 'Notes and Mortgages', statement number 2 is false as 'Notes' are often recorded in the County Office/Recording Office.

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in an unrelated diversification strategy, managers must make sure acquisition candidates have which of the following characteristics?

Answers

In an unrelated diversification strategy, managers must ensure that acquisition candidates possess the following characteristics. Firstly, they should have a strong and stable financial position to mitigate the risk associated with the diversification move.

This includes factors such as a healthy cash flow, profitability, and manageable debt levels. Additionally, potential candidates should offer opportunities for synergies and operational efficiencies, enabling the organization to leverage its existing capabilities and resources effectively. Furthermore, compatibility with the acquiring company's core competencies, strategic objectives, and corporate culture is crucial to ensure successful integration and alignment. Finally, managers must evaluate the growth potential of the acquisition candidate and assess its ability to generate sustainable long-term value.

In an unrelated diversification strategy, it is important for managers to seek acquisition candidates with a strong and stable financial position. This ensures that the acquiring company is not burdened with excessive financial risk and can avoid potential financial difficulties. Companies with a healthy cash flow, profitability, and manageable debt levels are more likely to contribute positively to the overall financial performance of the organization.

Furthermore, acquisition candidates should offer opportunities for synergies and operational efficiencies. This means that the acquiring company can benefit from combining resources, capabilities, and expertise with the target company to create value that exceeds the sum of individual parts. Synergies can arise from various aspects, such as cost savings, shared distribution channels, complementary product portfolios, or access to new markets.

Moreover, compatibility with the acquiring company's core competencies, strategic objectives, and corporate culture is crucial. This ensures a smoother integration process and minimizes potential conflicts and disruptions. When the acquiring company and the target company share similar values, business models, and goals, it becomes easier to align strategies and effectively leverage synergies.

Lastly, managers should assess the growth potential of the acquisition candidate and its ability to generate sustainable long-term value. This involves evaluating factors such as market dynamics, competitive positioning, technological advancements, and future market opportunities. By selecting acquisition candidates with growth prospects, the acquiring company can expand its business portfolio and diversify risk, while simultaneously enhancing its overall competitiveness in the market.

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the hawthorne studies found that money was the primary motivator for employees. group startstrue or false

Answers

False. The Hawthorne Studies, conducted between 1924 and 1932, did not find that money was the primary motivator for employees. The studies, conducted at the Western Electric Hawthorne Works in Chicago, initially aimed to investigate the relationship between lighting conditions and worker productivity.

As the studies progressed, the focus shifted to the effect of social and psychological factors on employee behavior. Researchers found that productivity increased regardless of changes in lighting conditions. This phenomenon, known as the Hawthorne effect, suggested that workers' productivity was influenced by the attention and interest they received from the researchers themselves.

The studies highlighted the significance of social and interpersonal factors in the workplace. Factors such as positive feedback, improved communication, participation in decision-making, and a sense of belonging were found to be influential in motivating employees. The studies challenged the traditional belief that money was the primary motivator and emphasized the importance of psychological and social needs in the workplace.

In summary, the Hawthorne Studies did not support the idea that money was the primary motivator for employees. Instead, they underscored the role of social and psychological factors in influencing employee motivation and productivity.

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Assume the classical view of the labor market. During a recession, labor demand will ____, the real wage will ____, and there will be no unemployment.

Answers

According to the classical view of the labor market, during a recession, labor demand will remain unchanged, the real wage will decrease, and there will be no unemployment.

The classical view of the labor market is based on the assumption of flexible wages and prices. In this view, the labor market operates efficiently, and wages adjust freely to maintain equilibrium. During a recession, when there is a decrease in aggregate demand, the classical theory suggests that labor demand will remain constant. This is because firms are expected to adjust their production levels and prices to meet the reduced demand, without affecting the quantity of labor demanded.

As a result, the real wage, which represents the purchasing power of wages, will decrease during a recession. With constant labor demand and a reduced real wage, the classical view argues that there will be no unemployment. According to this perspective, any individuals who are willing to work at the prevailing lower wage rate will find employment. In other words, market forces are expected to clear the labor market, ensuring that everyone who wants to work at the prevailing wage rate is able to find employment.

In summary, according to the classical view of the labor market, during a recession, labor demand is expected to remain unchanged, the real wage will decrease, and there will be no unemployment. This view is based on the assumption of flexible wages and prices, and it suggests that market forces will adjust to maintain equilibrium in the labor market, allowing everyone who wants to work to find employment at the prevailing lower wage rate.

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Determine whether the following statements are true or false:
A. In the Keynesian Cross model, the slope of the planned expenditure line is the marginal propensity to consume.
B. Joseph Schumpeter said that progress occurs through the process of saving and investment.
C. According to the Solow model, an increase in the rate of population growth will reduce the output per worker.
D.​​​​​​​ An increase in the interest rate will shift the IS curve to the left.

Answers

A. False (In the Keynesian Cross model, the slope of the planned expenditure line is the marginal propensity to consume.)

B. True (Joseph Schumpeter said that progress occurs through the process of saving and investment.)

C. True (According to the Solow model, an increase in the rate of population growth will reduce the output per worker)

D. False (An increase in the interest rate will shift the IS curve to the left.)

Is the slope of the planned expenditure line in the Keynesian Cross model equal to the marginal propensity to consume?

In the Keynesian Cross model, the slope of the planned expenditure line represents the marginal propensity to save (MPS), not the marginal propensity to consume (MPC). The MPC is the fraction of additional income that individuals choose to spend on consumption, while the MPS is the fraction of additional income that individuals choose to save. Therefore, statement A is false.

Did Joseph Schumpeter propose that progress occurs through the process of saving and investment?

Yes, Joseph Schumpeter, an influential economist, argued that progress and economic development are driven by a process he called "creative destruction." He emphasized the role of entrepreneurship and innovation, which he believed were fueled by saving and investment. Schumpeter's ideas centered around the notion that new products, technologies, and business models disrupt and replace older ones, driving economic growth. Hence, statement B is true.

According to the Solow model, does an increase in the rate of population growth reduce output per worker?

Yes, according to the Solow model, an increase in the rate of population growth leads to a decrease in output per worker. The model suggests that as the population grows, the capital stock per worker diminishes, resulting in lower productivity and output. This phenomenon is known as "diminishing returns to capital." Therefore, statement C is true.

Does an increase in the interest rate shift the IS curve to the left?

No, an increase in the interest rate does not shift the IS (investment-savings) curve to the left. In the IS-LM model, an increase in the interest rate leads to a decrease in investment and a shift of the investment schedule downward. However, this shift affects the LM (liquidity preference-money supply) curve rather than the IS curve. The IS curve represents the equilibrium condition in the goods market, while the LM curve represents the equilibrium condition in the money market. Thus, statement D is false.

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The following table shows the demand curve and cost information for a firm that is a monopolistic competition. Price and total cost price quantity tc $30 0 $10,200 $26 1,000 $11,000 $22 2,000 $12,000 $18 3,000 $15,000 $14 4,000 $22,000 if they maximize their profits, what will their revenue equal?

Answers

To maximize profits, a monopolistic competition firm will produce where marginal revenue (MR) equals marginal cost (MC).

Using the table given, we can calculate the marginal cost as the change in total cost (TC) divided by the change in quantity (Q). MC = (TC2 - TC1) / (Q2 - Q1)  For example, when producing 1,000 units, the TC is $11,000 and when producing 2,000 units, the TC is $12,000. So the MC is (12,000 - 11,000) / (2,000 - 1,000) = $1,000. We can see that the MC is increasing as more units are produced, which is typical for a firm in a monopolistic competition market.
To find the MR, we need to find the change in revenue (R) when one more unit is sold. In a monopolistic competition market, the demand curve is downward-sloping and not perfectly elastic, meaning that increasing quantity sold will lead to a decrease in price.  Using the table given, we can see that the total revenue (TR) at each quantity is equal to the price (P) multiplied by the quantity (Q).
TR = P x Q  For example, when producing 1,000 units, the price is $26 and the TR is $26 x 1,000 = $26,000. When producing 2,000 units, the price is $22 and the TR is $22 x 2,000 = $44,000. We can see that the TR is also decreasing as more units are produced, again due to the downward-sloping demand curve.
To find the MR, we need to find the change in TR when one more unit is sold. MR = (TR2 - TR1) / (Q2 - Q1)
For example, when producing 1,000 units, the TR is $26,000 and when producing 2,000 units, the TR is $44,000. So the MR is (44,000 - 26,000) / (2,000 - 1,000) = $18,000.
We can see that the MR is also decreasing as more units are produced, again due to the downward-sloping demand curve. To maximize profits, the firm will produce where MR = MC.
From the calculations above, we can see that the point where MR = MC is when producing 2,000 units. At this quantity, the price is $22, the MR is $18,000 and the MC is $2,000.  Therefore, the revenue at this point is equal to the total revenue, which is $44,000.

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Generally, __________ focus on the agreements.
Which entity gets a construction project started?
Construction firm
Bank
Owner
Regulatory agencies

Answers

Generally, construction firms focus on the agreements when getting a construction project started. However, the owner also plays a critical role in initiating the project.

The owner must provide the necessary funding for the project, and this usually involves working with banks to secure financing. Banks play a crucial role in construction projects as they provide the necessary capital to finance the project. Additionally, regulatory agencies also have a role to play in ensuring that the construction project meets all safety and environmental regulations. Overall, the success of a construction project relies on the collaboration and communication between all entities involved, including the construction firm, owner, banks, and regulatory agencies.

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a corporation must be incorporated in each state in which it does business. group of answer choices true false

Answers

The given statement  "a corporation must be incorporated in each state in which it does business." is False because A corporation does not necessarily have to be incorporated in each state in which it does business.

Instead, it can choose to be incorporated in one state and then register to do business in other states where it operates. This process is known as foreign qualification. Foreign qualification requires the corporation to comply with the laws and regulations of each state in which it registers to do business. This includes submitting paperwork, paying fees, and appointing a registered agent to receive legal documents on behalf of the corporation.

The state in which the corporation chooses to incorporate is often referred to as the home state. This is typically the state that offers the most favorable laws and regulations for the corporation. For example, Delaware is a popular choice for incorporation due to its business-friendly laws and well-established legal system.

Overall, while a corporation can choose to incorporate in multiple states, it is not required to do so. Instead, it can choose to register to do business in additional states through the process of foreign qualification.

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The pluralistic idea of democratic government acknowledges the united effort of members to reach policy decisions. In such a viewpoint, government policies in a democracy are influenced by a) ethnic groups alone b) trade unions alone c) bargaining among interest groups d) the diminishing power of dictators

Answers

The pluralistic idea of democratic government acknowledges the united effort of members to reach policy decisions. In such a viewpoint, government policies in a democracy are influenced by is bargaining among interest groups.

Option (C)

The pluralistic idea of democratic government emphasizes the importance of the collective efforts of all members in reaching policy decisions. In such a viewpoint, the government policies in a democracy are influenced by various interest groups. These groups include ethnic groups, trade unions, and other organizations that work towards advancing their respective interests.
However, the influence of interest groups in a democratic system is not absolute. Rather, it is achieved through bargaining and negotiation, whereby groups with opposing interests must find common ground to advance their respective objectives. This bargaining process ensures that policies reflect the interests and needs of all members of society, rather than being dictated by a single group or individual.
Furthermore, the pluralistic idea of democratic government is founded on the belief that power should not be concentrated in the hands of a few individuals or groups. Instead, power is distributed among a diverse array of interest groups, ensuring that no single entity can dominate the decision-making process. This approach results in more inclusive and representative policies, as well as greater accountability and transparency in government.
The pluralistic idea of democratic government acknowledges the united effort of members to reach policy decisions. It recognizes the importance of interest groups in influencing government policies, but also emphasizes the need for negotiation and compromise. Ultimately, the pluralistic approach to democracy ensures that policies reflect the diverse needs and interests of all members of society, rather than being driven by a single group or individual.  Option C

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In the pluralistic idea of democratic government, government policies are influenced by bargaining among interest groups.

This is because the pluralistic approach emphasizes the importance of multiple groups with different interests and perspectives participating in the policymaking process, and competing with each other to achieve their goals.

In this system, ethnic groups and trade unions may be among the interest groups involved in the bargaining process, but they are not the only ones. Other groups, such as business associations, environmental organizations, and advocacy groups, may also play a significant role in influencing government policies.

Therefore, option (c) - bargaining among interest groups - is the correct answer. The option (d) - the diminishing power of dictators - is not directly related to the pluralistic idea of democratic government, and is therefore not a suitable answer to the question.


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May the vendor of an installment land contract containing a forfeiture clause reinstate strict performance once she has waived it?
A. Yes, by establishing a pattern of accepting on-time payments
B. Yes, by giving the purchaser notice and a reasonable time to catch up on payments
C. No; a vendor's waiver is permanent

Answers

May the vendor of an installment land contract containing a forfeiture clause reinstate strict performance once she has waived it : Yes, by giving the purchaser notice and a reasonable time to catch up on payments

Option(B)

A forfeiture clause in an installment land contract allows the vendor to terminate the contract and keep all payments made by the purchaser if they default on their payments. However, once the vendor has waived the forfeiture clause, they cannot simply reinstate it at their discretion.
If the vendor wishes to reinstate strict performance, they must give notice to the purchaser and allow them a reasonable time to catch up on any missed payments. If the purchaser is able to catch up on their payments within the given timeframe, then the vendor can continue with the contract as originally agreed upon. It is important to note that a vendor's waiver of a forfeiture clause is not necessarily permanent. If the purchaser continues to default on their payments, the vendor may have grounds to terminate the contract and enforce the forfeiture clause once again. However, the vendor cannot simply reinstate strict performance without giving the purchaser notice and an opportunity to catch up on missed payments.  Option(B)

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The answer to this question depends on the specific terms and conditions of the installment land contract. A forfeiture clause is a provision in a contract that allows one party to forfeit its rights or terminate the contract if the other party breaches a certain condition.

If the vendor has previously waived the forfeiture clause and allowed the purchaser to catch up on late payments, it may be possible for the vendor to reinstate strict performance by establishing a pattern of accepting on-time payments.However, if the vendor has permanently waived the forfeiture clause, then it cannot be reinstated. Once the forfeiture clause has been waived, the vendor has relinquished the right to enforce it, and the purchaser is no longer at risk of losing the property in question.Therefore, the answer to this question is A) Yes, by establishing a pattern of accepting on-time payments, as long as the vendor has not permanently waived the forfeiture clause.

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Allocating overhead cost to accomplish smoothing LO 12-2 Fanning Corporation expects to incur indirect overhead costs of $78,325 per month and direct manufacturing costs of $19 per unit. The expected production activity for the first four months of the year are as follows. January February March April Estimated production in units 4,700 8,800 3,800 6,800 Required Calculate a predetermined overhead rate based on the number of units of product expected to be made during the first four months of the year. Allocate overhead costs to each month using the overhead rate computed in Requirement a. Calculate the total cost per unit for each month using the overhead allocated in Requirement b. Allocate overhead costs to each month using the overhead rate computed in Requirement a. Month Allocated Cost January February March April Total Calculate the total cost per unit for each month using the overhead allocated in Requirement b. Month January February March April Number of units 4,700 8,800 3,800 6,800 Expected cost Overhead Direct costs Total cost Cost per unit

Answers

The predetermined overhead rate can be calculated by dividing the expected indirect overhead costs by the expected number of units produced. Then, overhead costs can be allocated to each month using the predetermined rate, and the total cost per unit can be calculated for each month.

How can the overhead costs be allocated and the total cost per unit be calculated based on the expected production activity?

To allocate the overhead costs and calculate the total cost per unit, first calculate the predetermined overhead rate by dividing the expected indirect overhead costs of $78,325 per month by the total expected production units for the first four months. Summing up the units gives us 4,700 + 8,800 + 3,800 + 6,800 = 24,100 units.

Using this information, the predetermined overhead rate is calculated as $78,325 / 24,100 units ≈ $3.25 per unit.

Next, allocate the overhead costs to each month by multiplying the predetermined overhead rate by the number of units expected to be produced in each month. This will give us the allocated cost for each month.

To calculate the total cost per unit for each month, add the allocated overhead cost to the direct manufacturing cost of $19 per unit.

The table for overhead allocation and total cost per unit would look as follows:

Month | Allocated Cost | Number of Units | Total Cost | Cost per Unit

------|----------------|----------------|------------|--------------

January | $15,875 | 4,700 | $99,225 | $21.11

February | $29,900 | 8,800 | $178,900 | $20.33

March | $12,350 | 3,800 | $79,950 | $21.03

April | $22,075 | 6,800 | $148,175 | $21.78

Total | $80,200 | 24,100 | - | -

The total cost per unit is obtained by dividing the total cost by the number of units produced in each month.

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if ge’s stock is trading at $25 per share, what is the intrinsic value of a put option with a strike price of $30 if the option is trading at $8? a. $3 b. $5 c. $13 d. $18 e. $22

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To calculate the intrinsic value of a put option, we need to determine the difference between the strike price and the stock price and compare it to zero. If the difference is positive (in the money), the intrinsic value is the difference.

If the difference is negative (out of the money), the intrinsic value is zero. In this case, the stock price is $25, and the strike price is $30. Since the stock price is below the strike price, the put option is out of the money. Therefore, the intrinsic value of the put option is zero. Given that the option is trading at $8, we can conclude that the entire value of the option is due to its time value or extrinsic value. None of the answer choices provided are applicable since the intrinsic value is zero.

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a(n) ________ consists of one or more independent producers, wholesalers, and retailers, each seeking to maximize its own profits, sometimes even at the expense of the system as a whole.

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A(n) "competitive market" consists of one or more independent producers, wholesalers, and retailers, each seeking to maximize its own profits, sometimes even at the expense of the system as a whole.

In a competitive market, multiple sellers and buyers interact based on supply and demand dynamics. Each participant aims to optimize their own outcomes, such as maximizing profits or obtaining the best value for their purchases.

The competitive nature of the market drives producers to offer attractive products at competitive prices, while consumers have the freedom to choose among various options.

However, the pursuit of individual profit can sometimes lead to practices that may not be optimal for the overall efficiency of the market.

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Sales is in Units of $1000.00 and Advertising is in Units of $100. What does the value of sales INCREASE in dollars when we increased advertising by one UNIT? The equation is: Y=45.9+11,798.00X. Answer format: Number: Round to: 0 decimal places.

Answers

When advertising increases by one unit, the value of sales increases by $11,798.00.

To find the increase in sales in dollars when advertising is increased by one unit, we need to first understand the given equation:
Y = 45.9 + 11,798.00X

Here, Y represents the sales in units of $1,000, and X represents the advertising in units of $100.
Let's find the sales value (Y) when advertising (X) is increased by one unit. To do this, we can use the equation:
Y1 = 45.9 + 11,798.00(X+1)

Now, subtract the initial sales value (Y) from the new sales value (Y1) to find the increase in sales:
Increase = Y1 - Y = (45.9 + 11,798.00(X+1)) - (45.9 + 11,798.00X)

Simplify:
Increase = 11,798.00(X+1) - 11,798.00X
Increase = 11,798.00

The increase in sales is 11,798.00 in units of $1,000. To convert this to dollars, multiply by 1,000:
Increase (in dollars) = 11,798.00 * 1,000
Increase (in dollars) = 11,798,000

The value of sales increases by $11,798,000 when advertising is increased by one unit.

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Sparta Landscaping Company established the following standard labor cost data to provide complete lawn care service (cutting, edging, trimming, and blowing) for a small lawn. Sparta planned each lawrn to require 2 hours of labor at a cost of $18.00 per hour. The company actually serviced 500 lawns us- ing an average of 1.75 labor hours per lawn. Actual labor costs were $19.20 per hour Required a. Determine the total labor variance and indicate whether the variance is favorable (F) or b. Determine the labor price variance and indicate whether the variance is favorable (F) or c. Determine the labor usage variance and indicate whether the variance is favorable (F) or d. Explain what could have caused the variances computed in Requirements b and c. unfavorable (U). unfavorable (U). unfavorable (U).

Answers

Sparta Landscaping Company's actual labor cost is less than the standard labor cost, and the variance is unfavorable (U). The actual hourly rate paid is higher than the standard hourly rate, so the variance is unfavorable (U). The actual hours worked are less than the standard hours allowed, and the variance is unfavorable (U).

a. To determine the total labor variance, we first need to calculate the total standard labor cost and the total actual labor cost:

Total standard labor cost = 500 lawns x 2 hours per lawn x $18.00 per hour = $36,000

Total actual labor cost = 500 lawns x 1.75 hours per lawn x $19.20 per hour = $33,600

Total labor variance = Total actual labor cost - Total standard labor cost

= $33,600 - $36,000 = -$2,400

Since the actual labor cost is less than the standard labor cost, the variance is unfavorable (U).

b. To determine the labor price variance, we need to calculate the difference between the actual hourly rate paid and the standard hourly rate, and multiply it by the actual hours worked:

Labor price variance = (Actual hourly rate - Standard hourly rate) x Actual hours worked

= ($19.20 - $18.00) x (500 lawns x 1.75 hours per lawn)

= $1.20 x 875

= $1,050

Since the actual hourly rate paid is higher than the standard hourly rate, the variance is unfavorable (U).

c. To determine the labor usage variance, we need to calculate the difference between the actual hours worked and the standard hours allowed, and multiply it by the standard hourly rate:

Labor usage variance = (Actual hours worked - Standard hours allowed) x Standard hourly rate

= (500 lawns x 1.75 hours per lawn - 500 lawns x 2 hours per lawn) x $18.00 per hour

= (-250 hours) x $18.00 per hour

= -$4,500

Since the actual hours worked are less than the standard hours allowed, the variance is unfavorable (U).

d. The labor price variance could have been caused by an increase in the hourly rate paid for labor, due to factors such as inflation or changes in the labor market. The labor usage variance could have been caused by factors such as inefficiencies in the work process, or unexpected delays or issues with equipment or supplies.

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The most rigorous of all standards is the___ a) realistic standard. b) conceivable standard. c) ideal standard. d) normal standard.

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The answer to your question is c) ideal standard. An ideal standard represents the highest level of performance that an organization or an individual can achieve. It is the most rigorous of all standards and requires maximum effort and resources to meet.

This standard is often used as a benchmark for measuring performance and identifying areas for improvement. On the other hand, a realistic standard is one that is achievable with reasonable effort and resources, and takes into account factors such as time, budget, and available resources. It is important to set both realistic and ideal standards as they provide a balance between what can be achieved and what should be achieved. By doing so, organizations and individuals can set achievable goals while striving to achieve the highest level of performance possible.

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Meega airlines decided to offer direct service from Akron, Ohio to Clearwater Beach, Florida. Management must decide between full-price service using the company’s new fleet of jet aircraft and a discount-service using smaller capacity commuter planes. Management developed estimates of the contribution to profit for each type of service based upon three possible levels of demand for service: high, moderate, and low. The following table shows the estimated quarterly profits (in thousands of dollars).
Demand for service
Service High Medium Low
Full price 900 760 –430
Discount 710 650 350
The probabilities for the demand levels are P(High) = 0.3, P(Medium) = 0.5, and P(Low) = 0.2, respectively.
Using the expected value approach, what is the recommended decision?
Select one:
a. Offering high demand
b. Offering Medium demand
c. Offering low demand
d. Offering full price
e. Offering discounted price
What is the expected value of perfect information (in thousands of dollars)?
Select one:
a. 608
b. 564
c. 112
d. 490

Answers

To determine the recommended decision using the expected value approach, we need to calculate the expected profits for each option.
For full-price service:
Expected profit = (0.3 x 900) + (0.5 x 760) + (0.2 x (-430)) = 420
For discount service:
Expected profit = (0.3 x 710) + (0.5 x 650) + (0.2 x 350) = 573
Therefore, the recommended decision is to offer discount service.

To calculate the expected value of perfect information (EVPI), we need to find the difference between the expected value of the best decision with perfect information and the expected value of the best decision without perfect information. The expected value of the best decision with perfect information would be the maximum profit for each level of demand:
For high demand: Discount service with profit of 710
For medium demand: Full-price service with profit of 760
For low demand: Discount service with profit of 350
Therefore, the expected value of the best decision with perfect information is:
EVPI = (0.3 x 710) + (0.5 x 760) + (0.2 x 350) = 564

The expected value of the best decision without perfect information is the expected profit of the recommended decision, which is discount service with an expected profit of 573.
Therefore, the EVPI is:
EVPI = 564 - 573 = -9
This means that the expected value of perfect information is negative, indicating that it would not be worth the cost to gather perfect information.

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baker is single and earned $225,000 of salary as an employee in 2021. how much should his employer have withheld from his paycheck for fica taxes? $12,117 $12,341 $17,213 $10,924

Answers

To determine how much Baker's employer should have withheld from his paycheck for FICA taxes in 2021, we need to consider both Social Security and Medicare taxes. Here's a step-by-step explanation:

1. Social Security tax: In 2021, the Social Security tax rate is 6.2% on earned income up to $142,800. Since Baker's salary is $225,000, which exceeds the maximum taxable earnings, only the first $142,800 will be subject to Social Security tax. Calculate the Social Security tax as follows:

$142,800 * 0.062 = $8,853.60

2. Medicare tax: In 2021, the Medicare tax rate is 1.45% on all earned income. Calculate the Medicare tax as follows:

$225,000 * 0.0145 = $3,262.50

3. Additional Medicare tax: Since Baker's salary exceeds the threshold of $200,000 for single filers, an additional Medicare tax of 0.9% is applicable on the excess income. Calculate the additional Medicare tax as follows:

($225,000 - $200,000) * 0.009 = $225

4. Add up all the taxes to find the total FICA tax withholding:

$8,853.60 (Social Security tax) + $3,262.50 (Medicare tax) + $225 (Additional Medicare tax) = $12,341

So, Baker's employer should have withheld $12,341 for FICA taxes in 2021. Your answer: Baker's employer should have withheld $12,341 from his paycheck for FICA taxes in 2021.

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Jalen invested $2,500 into a Certificate of Deposit earning 4. 5% interest. How long will it take to double Jalen’s investment?

Answers

To determine how long it will take for Jalen's investment to double, we need to calculate the number of years required based on the given interest rate.

The formula to calculate the time it takes for an investment to double using compound interest is given by the rule of 72. The rule of 72 states that to approximate the number of years it takes for an investment to double, divide 72 by the interest rate.

In this case, Jalen's investment earns 4.5% interest. Using the rule of 72, we divide 72 by 4.5 to get approximately 16 years. Therefore, it will take around 16 years for Jalen's investment to double.

It's important to note that the rule of 72 provides an estimation and assumes compound interest remains constant over the investment period. In reality, interest rates may fluctuate, and the actual time it takes for an investment to double can vary. Additionally, the calculation does not take into account any compounding frequency or additional factors that may affect the investment's growth.

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Virginia Company paid $7,500 cash for various manufacturing overhead costs. As a result of this transaction: Multiple Choice a. total assets, total equity, and net income decrease.b. total assets, total equity, and net income are not affected.c. None of these.d. total assets increase.

Answers

The correct answer is described as that total assets increase as a result of the transaction.

When Virginia Company pays $7,500 in cash for various manufacturing overhead costs, it results in an increase in total assets. The payment of cash for manufacturing overhead costs typically involves the purchase of supplies, equipment, or services necessary for the manufacturing process. These items would be classified as assets on the company's balance sheet.

This transaction does not directly impact total equity or net income. Total equity represents the difference between total assets and total liabilities, and since this transaction only affects assets, equity remains unchanged. Net income, on the other hand, is affected by revenues and expenses from the company's operating activities, and the payment of manufacturing overhead costs is not directly related to generating revenue or incurring expenses that would impact net income.

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justin makes annual contributions of $2,975 to a 401(k). his employer matches 75% of his contributions. his account will grow at an average rate of 7.4% every year. he is currently taxed at 28%, but anticipates being taxed at 15% during retirement. if justin retires in 37 years, what is the value of his 401(k) at that time? (

Answers

The value of Justin's 401( k) at retirement is approximately $853,773.28.

To calculate the value of Justin's 401( k) at retirement, we will use the following steps way

Compute Justin's annual contribution with the company match  $2,975 x 1.75 = $5,206.25

Calculate the future value of an annuity due with regular beneficences of $5,206.25 per year for 37 years at an interest rate of7.4

[tex]FV = $5,206.25 x (((1 + 0.074)^{(37)} - 1)/0.074) x (1 + 0.074)[/tex]

FV = $722,727.46

compute the tax- adjusted cost of the 401( k) at retirement

[tex]FV x (1 - 0.15) / (1 - 0.28) = $722,727.46 x 0.85 / 0.72 = $853,773.28[/tex]

Accordingly, the cost of Justin's 401( k) at retirement is approximately $853,773.28.

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a donor gives their child a gift of publicly traded stock with a basis of $40,000 and a fair market value of $30,000. no gift tax is paid. the child subsequently sells the stock for $36,000. what is the child's recognized gain or loss, if any?

Answers

The child's recognized loss would be $4,000 ($36,000 selling price - $40,000 basis). However, since the gift was made at a loss, the child would not be able to deduct the loss on their tax return.
When the child receives a gift of publicly traded stock with a basis of $40,000 and a fair market value of $30,000, the child's basis in the stock will depend on whether they have a gain or loss upon sale. In this case, the child sells the stock for $36,000.
Since the selling price ($36,000) is between the donor's basis ($40,000) and the fair market value at the time of the gift ($30,000), the child will have neither a recognized gain nor a loss. The child's basis for determining gain will be the same as the donor's basis, which is $40,000, and the basis for determining loss will be the fair market value at the time of the gift, which is $30,000. As the selling price falls between these two values, there is no recognized gain or loss in this scenario.

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New production technology that lowers the cost of production will result in:


the supply curve shifting to the left

the supply curve shifting to the left


the supply curve shifting to the right

the supply curve shifting to the right


no change in the supply curve

no change in the supply curve


decrease in demand quantity

decrease in demand quantity

Answers

The correct answer is: the supply curve shifting to the right.  When there is a new production technology that lowers the cost of production, it typically leads to an increase in the supply of goods or services.

This means that producers are able to supply more at each price level. As a result, the supply curve shifts to the right.

A rightward shift of the supply curve indicates that producers are willing and able to supply a larger quantity of goods or services at each price. This is because the lower production costs make it more profitable for producers to supply greater quantities of their products.

Therefore, the correct statement is that a new production technology that lowers the cost of production will result in the supply curve shifting to the right.

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