Moneka reported $55,000 of income for the year by using absorption costing. The company had no beginning inventory, planned and actual production of 20,000 units, and sales of 18,000 units. Total variable manufacturing costs were $200,000, and total fixed manufacturing overhead was $50,000. If there were no variances, income under variable costing would be:_______

a. $45,000.
b. $55,000.
c. $65,000.
d. $105,000.
e. $5,000.

Answers

Answer 1

Answer:

Net income under variable costing= $50,000

Explanation:

The absorption costing method includes all costs related to production, both fixed and variable. The unit product cost is calculated using direct material, direct labor, and total unitary manufacturing overhead.

We need to deduct to the net income of the absorption costing method, the fixed manufacturing overhead allocated into ending inventory.

Unitary fixed overhead= 50,000 / 20,000

Unitary fixed overhead= $2.5

Net income under variable costing= 55,000 - (2,000*2.5)

Net income under variable costing= $50,000


Related Questions

Examine the credit terms below
Interest Rates and Interest Charges
0% introductory APR for 10 months.
Annual Percentage Rate (APR) for purchases after that, your APR will be 10.99%, 15.99%, or 17.99% based on your creditworthiness. This APR will vary with the market, based on the Prime Rate.
Why would the lender offer a lower introductory APR for 10 months?
To reduce its profits
O To eliminate its risk
To entice consumers to use its credit card
To encourage consumers to apply for secured loans

Answers

Answer:

To entice customers to use it's credit card

Explanation:

Credit Card companies use tactics like this because it sounds more appealing then having to start paying immediately. This gives them an advantage over other companies that don't offer this making more people want to use their credit card.

In the above situation, the lender is offering a lower introductory APR for ten months to entice the consumers to use its credit card.

What is a credit card?

A credit card is a form of plastic and digital money, which is used to pay for the purchases of the cardholder against the credit limit offered to the consumers.

APR is the rate at which the interest rate charged to the credit card holders in case of defaulted or late repayments. Low APR is attractive for the consumers as they can get to use a credit limit.

Hence, option C holds true regarding a credit card.

Learn more about a credit card here:

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What is the total amount of cash dividends paid to common stockholders for the years ended (a) September 30, 2017, and (b) September 24, 2016

Answers

Answer:

Note: Missing question but the full question is attached as picture below

The Cash dividends paid to common stockholders can be obtained the financing activities section of the Consolidated statement of cash flows tagged (Payments of dividends and dividends equivalents)

                            Cash dividend paid

Common stock issued and outstanding             Cash dividends

(a) September 30, 2017                                        $12,769,000,000

(b) September 24, 2016                                        $12,150,000,000

Which answer best illustrates what trade-offs are?

Answers

Maria chose to do homework. Her grade will improve

Dani's just paid an annual dividend of $6 per share. What is the dividend expected to be in five years if the growth rate is 4.2%

Answers

Answer:

the dividend expected in five years is $7.37

Explanation:

The computation of the dividend expected in five years is as follows;

As we know that

Future value = Present value × (1 + rate of interest)^time period

Dividend at year 5 = $6 × (1.042)^5

= $6 × 1.228396569

= $7.37

Hence, the dividend expected in five years is $7.37

The same is to be considered

What is the maximum amount a firm should pay for a project that will return $15,000 annually for 5 years if the opportunity cost is 10%

Answers

Answer:

$56,861.80  

Explanation:

The maximum price an investor would pay an investment today is the present value of the investment's future cash flows discounted by the opportunity cost of capital of 10%.

Present value of a future cash flow=future cash flow/(1+cost of capital)^n

n refers to the period in which the cash flow is expected , for instance,for year 1 cash flow n is 1, 2 for year 2 and so on.

PV=$15,000/(1+10%)^1+$15,000/(1+10%)^2+$15,000/(1+10%)^3+$15,000/(1+10%)^4+$15,000/(1+10%)^5

PV=$56,861.80  

On January 1, 2020, Sandhill Co., a calendar-year company, issued $1044000 of notes payable, of which $261000 is due on January 1 for each of the next four years. The proper balance sheet presentation on December 31, 2020, is:

Answers

Answer:

Current liabilities, $261,000; Long-term Debt $783,000

Explanation:

Based on the information given we were told that the company issued the amount of $1044000 of notes payable in which the amount of $261000 was due on January 1 for each of the next 4 years based on this the proper balance sheet presentation on December 31, 2020 will be:

Current liabilities $261,000

Long-term Debt $783,000

($1044000-$261000)

Therefore The proper balance sheet presentation on December 31, 2020, is:Current liabilities, $261,000; Long-term Debt $783,000

Challenges to Employee Development Special challenges in employee development include overcoming the barrier that keeps women and minorities from obtaining top jobs, known as the glass ceiling; preparing for the retirement of leaders, a process known as succession planning; and addressing the problem of dysfunctional managers. To address the glass ceiling, companies need to implement development systems that ensure that minorities and women have access to developmental job experiences and developmental relationships. To have an effective succession-planning program, organizations need to identify and develop high-potential employees for management positions. Dysfunctional managers could benefit from additional development to help them succeed. A well-designed system for employee development can help organizations face three widespread challenges: the glass ceiling, succession planning, and dysfunctional behavior by managers. This activity is important because it gives you the opportunity to review several examples of challenges in employee development. The goal of this activity is to discuss how organizations are meeting the challenges of the "glass ceiling," succession planning, and dysfunctional managers. Read each scenario, then select the appropriate category to which it refers.
1. Angela Martinez had difficulty finding a mentor as a Latin American woman.
2. Our organization systematically evaluates high potential employees that we believe can succeed in higher-level business positions.
3. To overcome what would be considered "toxic behaviors", Julie practiced role plays with her coach.
4. Although John, our CEO may be retiring soon, our organization has provided development experiences for candidates to succeed in his role.
5. Our manager, Tom, is arrogant and abrasive, which alienates people both inside and outside of the organization.
6. Our organization provides job assignments based on the successful career paths of past upper managers.
7. The Executive Team at our organization consists of seven men and one woman.
8. Our organization offers Individual Coaching for Effectiveness (ICE) for managers deemed to display dysfunctional behaviors.
9. Our organization tends to have an "old boy’s network" that excluded women from key promotions and positions of power.

Answers

Answer:

1. Angela Martinez had difficulty finding a mentor as a Latin American woman.  ⇒ REFERS TO GLASS CEILING

2. Our organization systematically evaluates high potential employees that we believe can succeed in higher-level business positions.  ⇒ REFERS TO SUCCESSION PLANNING

3. To overcome what would be considered "toxic behaviors", Julie practiced role plays with her coach.  ⇒ REFERS TO DYSFUNCTIONAL MANAGERS

4. Although John, our CEO may be retiring soon, our organization has provided development experiences for candidates to succeed in his role.  ⇒ REFERS TO SUCCESSION PLANNING

5. Our manager, Tom, is arrogant and abrasive, which alienates people both inside and outside of the organization. ⇒ REFERS TO DYSFUNCTIONAL MANAGERS

6. Our organization provides job assignments based on the successful career paths of past upper managers.  ⇒ REFERS TO SUCCESSION PLANNING

7. The Executive Team at our organization consists of seven men and one woman.  ⇒ REFERS TO GLASS CEILING

8. Our organization offers Individual Coaching for Effectiveness (ICE) for managers deemed to display dysfunctional behaviors. ⇒ REFERS TO DYSFUNCTIONAL MANAGERS

9. Our organization tends to have an "old boy’s network" that excluded women from key promotions and positions of power. ⇒ REFERS TO GLASS CEILING

Explanation:

Glass ceiling refers to barriers laid out that prevent certain employees from advancing within an organization.

Succession planning takes place when high potential employees are trained and followed in order to fill future vacant managerial positions.

Dysfunctional managers are managers that fail to do their job properly because they do not trust their employees and try to make all important decisions themselves. They really do not want to manage other people's work, instead they believe that only they can do it right.

A purchase of a pair of Italian designer jeans by a resident of Brazil would be considered an when counting GDP in Brazil. As a result, this purchase would be Brazilian GDP. A purchase of a bathing suit made in Brazil and sold in Canada would be considered an for Brazilian GDP, which would be Brazilian GDP:_________

Answers

Answer:

A purchase of a pair of Italian designer jeans by a resident of Brazil would be considered an import when counting GDP in Brazil. As a result, this purchase would be deducted from Brazilian GDP. A purchase of a bathing suit made in Brazil and sold in Canada would be considered an export for Brazilian GDP, which would be added to Brazilian GDP.

Explanation:

Note: This question is not complete as the gaps in its ared omitted. The complete question is therefore provided before answering the question as follows:

A purchase of a pair of Italian designer jeans by a resident of Brazil would be considered an               when counting GDP in Brazil. As a result, this purchase would be               Brazilian GDP. A purchase of a bathing suit made in Brazil and sold in Canada would be considered an               for Brazilian GDP, which would be                 Brazilian GDP.

The explanation of the answer is now provided as follows:

In economics, the GDP of a country can be measured using the expenditure approach using the following formula:

GDP = C + G + I + (X - M) ......................... (1)

Where;

GDP = gross domestic product

C = consumption

G = government spending

I = Investment

X = exports

M = Imports

From equation (1), it can be seen that exports are added to the GDP of the country while imports are deducted from its GDP.

Therefore, a purchase of a pair of Italian designer jeans by a resident of Brazil would be considered an import when counting GDP in Brazil. As a result, this purchase would be deducted from Brazilian GDP. A purchase of a bathing suit made in Brazil and sold in Canada would be considered an export for Brazilian GDP, which would be added to Brazilian GDP.

Mr. Jagger is purchasing a $3,000,000 home by borrowing 80% of the purchase price. His loan terms are: 15 years amortization, monthly payments, 5.00% annual interest rate. The monthly payment will be: a. $18,979.05 b. $18,599.47 c. $18,409.68 d. $19,358.63 3.488 points

Answers

Answer:

Monthly payment= $18,979.05

Explanation:

Giving the following information:

Loan (PV)= 3,000,000*0.8= $2,400,000

Monthly interest rate (i)= 0.05/12= 0.00416667

Number of periods (n)= 15*12= 180 months

To calculate the monthly payment, we need to use the following formula:

Monthly payment= (PV*i) / [1 - (1+i)^(-n)]

Monthly payment= (2,400,000*0.00416667) / [1 - (1.00416667^-180)]

Monthly payment= $18,979.05

A 40% increase in price led the quantity supplied of bicycles in a competitive market to increase from 320.00 to 350.00.
What is the price elasticity of supply for bicycles?What is the best description of the price elasticity of supply for bicycles?A. inelastic
B. elastic
C. normal
D. unitary elastic

Answers

Answer:

A. inelastic

Explanation:

Price elasticity of supply = Percentage change in Quantity supplied / Percentage change in price

% change in Quantity supplied = (350.00-320.00) / 350.00

% change in Quantity supplied = 0.08571429

% change in Quantity supplied = 8.57%

Price elasticity of supply = 8.57/40

Price elasticity of supply = 0.21425

Conclusion: The price elasticity of supply is inelastic because the elasticity is below 1.

Which of the following investors would likely prefer a cash dividend over a stock dividend?

a. Layton prefers when companies let him decide how to benefit from his dividends.
b. Kylie is a high-income earner and prefers to avoid additional taxes this year.
c. Harriett is more focused on long-term outcomes than short-term ones when it comes to investing.
d. Enrique subscribes to the "bird in the hand"theory when it comes to dividends.

Answers

Answer:

d. Enrique subscribes to the "bird in the hand "theory when it comes to dividends

Explanation:

Cash that is ready to use is better than having other assets that need to be converted into cash to be enjoyed later. This is the simple explanation of the "bird in the hand" theory. An investor who subscribes to this theory will highly likely prefer a cash dividend over a stock dividend.

The riskiest stage of the product life cycle is the
O introduction stage
O growth stage
O maturity stage
O decline stage

Answers

Answer:

growth stage

Explanation:

growth stage

Which of the following molecules has the highest boiling point?

a. CH4
b. BH3
c. NH3
d. SH2

Answers

Answer: c. NH3

Explanation:

Ammonia(NH3) has the highest boiling point at -33.34 °C while Methane (CH4) has a boiling point of -161.6 °C and Hydrogen sulfide (SH2) has a boiling point of -60 °C.

This is because Ammonia can form strong hydrogen bonds but which makes it harder to boil than the others.

You are given an annuity-immediate with 11 annual payments of 100 and a final balloon payment at the end of 12 years. At an annual effective interest rate of 3.5%, the present value at time 0 of all the payments is 1,000. Using an annual effective interest rate of 1%, calculate the present value at the beginning of the ninth year of all remaining payments.

Answers

Answer:

The present value at the beginning of the ninth year of all remaining payments is 316.09

Explanation:

It is assumed that it is an ordinary annuity.

First, we need to calculate the final payment.

Use the following formula to calculate the final payment

Final Payment When an annuity is ordinary

Final payment = fv(rate,nper,pmt,pv) * (1+3.5%)

Where

rate = 3.5%

nper = 11

pmt = 100

pv = -1,000

Placing values in the formula

Final payment = fv(3.5%,11,100,-1000)*1.035

Final payment = $150.87

Now calculate the present value at the beginning of the ninth year of all remaining payments.

Present Value = ( Ninth payment / ( 1 + interest rate )^9 ) + ( Tenth payment / ( 1 + interest rate )^10 ) + ( Eleventh payment / ( 1 + interest rate )^11 ) + ( Final payment / ( 1 + interest rate )^11 )

Present Value = ( 100 / ( 1 + 3.5% )^9 ) + ( 100 / ( 1 + 3.5% )^10 ) + ( 100 / ( 1 + 3.5% )^11 ) + ( 150.87 / ( 1 + 3.5% )^11 )

Present Value = 73.37 + 70.89 + 68.49 + 103.34

Present Value = 316.09

A simple trust has ordinary income of $56,000, a long-term capital gain of $20,000 (allocable to corpus), and a trustee commission expense of $5,500 (payable from corpus). The two income beneficiaries, Woo and Jae, are entitled to the trust's annual accounting income, based on shares of 60% and 40%, respectively. Woo is allocated DNI of $________ and Jae is allocated DNI of $._________

Answers

Answer:

Woo is allocated DNI of $30,300 and Jae is allocated DNI of $20,200

Explanation:

Item                                Totals     Accounting     Taxable   Distributable N.I.

                                                        Income           Income    /Deductions

Ordinary income       56,000      56,000           56,000

Net long-term capital   20,000                             20,000

gain

Fiduciary fees              -5,500                               -5,500

Personal exemption                                               -300

Accounting Income/ Taxable        56,000           70,200      70,200

Income before the Distributions

Deduction

Exemption                                                                                   300

Corpus Capital Gain/Loss                                                         -20,000

Distributable Net Income                                                          50,500

Distribution Deduction                                            50,500

Entity Taxable Income                                              19,700

Distributable Net Income

Woo allocated DNI = 50,500 * 60% = $30,300    

Jae allocated DNI = 50,500 * 40% = $20,200

The difference between the actual quantity and the standard quantity, multiplied by the standard price, is the:

Answers

Answer:

the material quantity variance

Explanation:

As we know that

Material quantity variance is

= (Standard quantity - actual quantity) × standard price

This represent that the difference between the standard quantity and the actual quantity should be multiplied with the standard price is known as the material quantity variance

Therefore as per the given situation, the material quantity variance is the answer

Hence, the same is to be considered

Coronado Industries produces face cream. Each bottle of face cream costs $11 to produce and can be sold for $15. The bottles can be sold as is, or processed further into sunscreen with an additional cost of $16 each. Coronado Industries could sell the sunscreen bottles for $21 each.
A. Face cream must be processed further because it increases profit by $3 each.B. Face cream must be processed further because its profit is $9 each.C. Face cream must not be processed further because costs increase more than revenue.D. Face cream must not be processed further because it decreases profit by $1 each.

Answers

Answer:

c

Explanation:

Profit = Total revenue - cost

Profit if bottle is sold as face cream = $15 - $11 = $4

Profit is bottle is sold as sunscreen = $21 - ($16 + $11) = $-6

Processing the bottle further into sunscreen increases costs more than revenue and thus should not be processed further

In what order do managers typically perform the managerial functions?

Answers

Planning, organizing, leading, and controlling are the four common functions and are performed in that exact order.

Maple Farms, Inc. v. City School District of Elmira. Read the summary of the court opinion. Could something like this bankrupt a company? Do you agree with the decision? Why? How does a company avoid this type situation?

Answers

The correct answers to these open questions are the following.

Maple Farms, Inc. v. City School District of Elmira.

Could something like this bankrupt a company?

Yes, it can, if the proper forecast were not done taking into consideration all of the possible variables at medium and long-range.

Do you agree with the decision?

It was a tough decision because the court declared in its decision that the performance was not impracticable, as Maple Farm Inc indicated when decided to break the contract.

In strict theory, I agree with the court's decision because the explanation was that an "impractical" occurred when an event happened totally unexpected. And in this case, Mapple Farm Inc could have taken extra provisions knowing that milk had a 10% increase the last year and had the chance of more increases in the present year.

That is how a company can avoid this type of situation. Taking better provisions, contemplating all kinds of variables, knowing that in the future, something unexpected can happen and could be prevented with the proper forecast.

Penney Fashions is adding a new line of shoes to the company portfolio and has the following information: the expected market return is 13%, the risk-free rate is 3%, and the expected return on the new project is 11%. What is the beta of the project?

Answers

Answer:

0.80

Explanation:

Based on the Capital Asset Pricing Model(CAPM), the formula for determining the expected return on the project stated below can be used to determine the beta of the project, whereby the formula is rearranged such that the project beta is made the subject of the formula:

expected return=risk-free rate+beta*(market return-risk-free rate)

expected return on the project=11%

risk-free rate=3%

beta=the unknown

market return=13%

11%=3%+beta*(13%-3%)

11%=3%+beta*10%

11%-3%=beta*10%

8%=beta*10%

beta=8%/10%=0.80

What is the margin of safety (in sales) when a business has sales of $485,000, sales of $225,000 at break-even point, and unit selling price of $55

Answers

Answer:

Margin of safety= $260,000

Explanation:

Giving the following information:

Sales= $485,000

Break-even point in dollars= $225,000

To calculate the break-even point in sales dollars, we need to use the following formula:

Margin of safety= (current sales level - break-even point)

Margin of safety= 485,000 - 225,000

Margin of safety= $260,000

The future value of a dollar
1. increases with lower interest rates
2. increases with higher interest rates
3. increases with longer periods of time
4. decreases with longer periods of time

Answers

Answer:

C. 2 and 3

Explanation:

Note: Options to the question are as follows "A. 1 and 3 , B. 1 and 4, C. 2 and 3, D. 2 and 4.

FV = PV(1 + r)^t

Future value of a dollar is the value of a dollar if it earns a certain interest fro a specified time.  Future value increases with an increase in interest rates and time. Conversely, it decreases with a decrease in interest rates and time.

Thus, Option c is correct.

Caspian Sea Drinks is considering buying the J-Mix 2000. It will allow them to make and sell more product. The machine cost $1.92 million and create incremental cash flows of $580,127.00 each year for the next five years. The cost of capital is 9.52%. What is the internal rate of return for the J-Mix 2000?

Answers

Answer:

15.54 %

Explanation:

The Internal Rate of Return (IRR) is the Interest rate that will make the present value of Cash Flows equal to the price or initial investment.

Step 1

First determine the summary of Cash Flow of the project.

The Projects` cash flows are as follows :

Year 0 = $1,920,000

Year 1 = $580,127.00

Year 2 = $580,127.00

Year 3 = $580,127.00

Year 4 = $580,127.00

Year 5 = $580,127.00

Step 2

Calculate the IRR.

From this point i will use a Financial Calculator. The Function to use is the CFj for uneven Cash Flows.

($1,920,000)            CFj

$580,127.00            CFj

$580,127.00            CFj

$580,127.00            CFj

$580,127.00            CFj

$580,127.00            CFj

Shift IRR/YR      15.5415 or 15.54 %

Conclusion :

The internal rate of return for the J-Mix 2000 is 15.54 %

A web interface which represents integrated personalized business content delivered to senior managers is

Answers

Answer:

Web portal

Explanation:

A web portal, simply called a portal, is a specifically designed website that provides specific and relevant information to its users. The information is accessed from a single interface. A portal serves as a reference point or a collection of categorized content.

In an organization, a web portal can be designed to present content relevant to senior managers only. The portal allows the senior managers to search, navigate and apply content relevant to their duties from a single interface point

A company has an unfavorable direct materials quantity variance. A possible reason for this variance is that:

a. the direct-material price variance is favorable.
b. the total direct-material variance is unfavorable.
c. the total direct-material variance is favorable.
d. the direct-labor efficiency variance is unfavorable.
e. any of the other answers can occur.

Answers

Answer:

e. any of the other answers can occur.

Explanation:

The reason for the decision above is variances are not dependent on the direct material quantity variance and the calculation of all is differ. We also know the total direct material variance is total of material quantity & price variance that is because total variance may be favorable or unfavorable. And the option(d) direct labor efficiency variance do not relate with material variance.

If you want your employees to resolve conflict cooperatively, what type of norms would you try to influence or create?

Answers

Answer: Agreeable conflict management norm

Explanation:

Based on the forms of different norms that we have in resolving conflict, we should note that:

The active norm is an open manner of resolving conflict; the passive norm avoids the conflict as the conflict will be addressed while the agreeable norm is a cooperative way of resolving of conflict.

Therefore, the answer will be Agreeable conflict management norm.

Charley Davison Inc. produced 10,000 motorcycles last year and sold 9,000 of them each for $18,000/bike. Variable cost was $13,000/bike. Fixed cost was $25 million and it had no debt. Assume no profits tax. It paid out all profits as dividends. Which of the following are true?

a. Profits = $20 million
b. Profits = $25 milion
c. Piotits-513 million loss)
d. Change in cash= -S20 million
e. Change in cash= -$25 million
f. Change in cash =- $13 million

Answers

Answer:

a. Profits = $20 million

Explanation:

The computation is shown below

Total revenue is

= Number of bikes sold × sale price of a bike

= 9,000 × 18,000

= $162,000,000

Total costs = fixed costs + variable costs

where,  

Fixed costs = $25 million or $25,000,000.

And,

The Variable cost for the bikes sold is

= number of bikes sold × variable cost per bike

= 9000 × 13000

= $117,000,000

So, the total costs is

= $25,000,000 + $117,000,000

= $142,000,000

Now  

Profit = total revenue - total cost

= $162,000,000 - $142,000,000

= $20,000,000

Hence, the correct option is a.

Suppose a company earns a profit this year and has a dividend payout ratio of one half. What does this mean?

a. it will have no retained earnings
b. Its book value at the beginning of next year will be less than that of this year
c. It will not pay out all its earnings as dividends
d. All the above

Answers

Answer:

C

Explanation:

The dividend payout ratio is the ratio of dividends paid to shareholders in proportion to net income

Payout ratio = dividends / net income

If dividend payout ratio of one half, it means that only half of net income is paid as dividends

Jimmy has $167,933 accumulated in a 401K plan. The fund is earning a low, but safe, 3% per year. The withdrawals will take place at the end of each year starting a year from now. How soon will the fund be exhausted if Jimmy withdrawals $31,000 each year

Answers

Answer:

6 years

Explanation:

Rate = 3%

PMT = 31,000

PV = -167,933

FV = 0

Using the MS Excel Nper function

How soon the fund will be exhausted = Nper(Rate, PMT, -PV, FV)

= Nper (3%, 31,000, -167,933, 0)

= 6.0000255

= 6 years

Thus, it will take 6 years for the fund to be exhausted

After the USA introduces a tariff in the market for gigastraps, the price of gigastraps in the USA will:A. decrease.B. increase.C. remain the same.D. change in an indeterminate manner.

Answers

Answer: increase

Explanation:

A tariff is a tax that is imposed by the government of a particular country on imported goods brought into the country from other countries. A tariff is usually used to protect the infant industry of the domestic economy.

Since USA introduces a tariff in the market for gigastraps, the price of gigastraps in the USA will increase. The tariff will bring about an increase in cost on the part of the producers of gigastraps which will in turn, lead to a rise in the price of gigastraps in USA.

Other Questions
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