Encouraging firms to invest in research and development and individuals to engage in creative endeavors such as writing novels is one justification for Group of answer choices resource monopolies. natural monopolies. government-created monopolies. breaking up monopolies into smaller firms.

Answers

Answer 1

Encouraging firms to invest in research and development and individuals to engage in creative endeavors such as writing novels is one justification for government-created monopolies.

Government-created monopolies, such as patents and copyrights, provide exclusive rights to inventors and creators for a limited period. This allows them to protect their inventions and creations from competitors and to reap the rewards of their efforts. By granting these exclusive rights, the government provides an incentive for firms and individuals to invest in research and development and creative activities, as they can be assured that they will have a limited period of time to benefit from their efforts before others are allowed to compete. This system also benefits society as a whole, as it encourages innovation and creativity, which can lead to new products, technologies, and cultural works that benefit everyone.

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Related Questions

write short notes by Napier bone ​

Answers

Answer:

Napier's bones is a manually-operated calculating device created by John Napier of Merchiston, Scotland for the calculation of products and quotients of numbers. The method was based on lattice multiplication, and also called 'rabdology', a word invented by Napier. Napier published his version in 1617.

Why do you think it’s important to find a career that matches your personality? Come up with an example (real or made-up) of a person who has a career/personality conflict and explain what might be some negative consequences of having a career that doesn’t match your personality traits.

Answers

Because you would want to enjoy what you wanna be if u didn’t then you maybe wouldn’t do it corrected because your not enjoying it. Hope this helps!

the current strike price for a pound put option is $1.50. the pound is currently trading at $1.48. the premium was $.03. the option is:

Answers

The holder of the option has the right to sell one pound for $1.50. If the pound is currently trading at $1.48, the option is "in the money," as the holder can sell the pound for a higher price than the market value.

The current strike price for a pound put option is $1.50. The premium for the option is $.03, which is the price paid for the option. If the holder exercises the option, they can sell the pound for $1.50 and make a profit of $.02 ($1.50 - $1.48), minus the premium paid, resulting in a net profit of $.01 ($0.02 - $0.01).

Overall, the option is a profitable investment if the holder exercises for trading, as they can sell the pound for a higher price than the current market value.

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The current strike price for a pound put option is $1.50. the pound is currently trading at $1.48. the premium was $.03. the option is:

a) In the money

b) Out of the money

c) At the money

d) Profitable Investment

What is inflation?

Movement, whether upward or downward, of economic activity

Monetary value of final goods and services produced within a country for a specific time period.

The rate at which the price level of goods and services rises.

A measurement used by economics to measures average prices of a market basket of consumer goods and services.

Answers

What is inflation?

Monetary value of final goods and services produced within a country for a specific time period.

real estate licensee lucy decided to target a specific area near her own home and began making consistent marketing touches to cultivate buyers and sellers. what is this process known as?

Answers

Real estate licensee lucy decided to target a specific area near her own home and began making consistent marketing touches to cultivate buyers and sellers. This process is known as “farm marketing”.

It involves consistently engaging potential buyers and sellers within a specific geographic area or “farm”, usually near one's own home. The goal is to become the “go-to” agent in the area.

Farm marketing requires establishing a presence in the local community. For example, one could distribute fliers and informational materials, as well as attend community events. It is also important to build relationships with other real estate professionals, such as lenders and home inspectors.

By taking these steps, Lucy is demonstrating her commitment to her area, which is likely to lead to referrals and a higher success rate for her real estate business. Additionally, she is able to track her farm marketing efforts and assess their effectiveness over time.

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Products produced in a competitive market are
differentiated

unique

standardized and differentiated

standardized

Answers

Answer:

Standardized

Explanation:

Firms that are purely competitive provide a standardised (same or homogenous) product. Consumers will be unconcerned about whose vendor they acquire the goods from as long as the pricing is the same.

Monopolistically competitive companies make a typical profit in the long run since entrance into the market is easy. The sort of goods supplied distinguishes oligopoly from perfect competition.

a giffen good is one in which the _____ curve is _____ sloped.

Answers

A Giffen good is one in which the demand curve is positively sloped. This means that as the price of the good increases, the quantity demanded also increases.

This contradicts the typical relationship between price and quantity demanded, where an increase in price leads to a decrease in quantity demanded. Giffen goods are considered to be rare and counterintuitive in economics.

The explanation behind the positively sloped demand curve of Giffen goods lies in the income and substitution effects. In the case of Giffen goods, the income effect dominates the substitution effect. When the price of a Giffen good rises, it reduces the purchasing power of consumers, particularly those with low income.

As a result, they have to allocate a larger portion of their limited income towards the Giffen good, leaving less money for other goods. In this situation, the quantity demanded of the Giffen good increases despite its higher price, as consumers prioritize it over other goods due to affordability constraints. This unique phenomenon challenges the conventional law of demand and represents an exceptional case in economic theory.

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What accounting book should a merchandising business use to show a payment and transaction history for each customer who bought items
with credit?
When a company has customers who buy units of merchandise on credit, its accountant will post entries in the ____

Answers

Answer:

Accounts receivable subsidiary ledger.

Explanation:

Answer: accounts receivable subsidiary ledger

Explanation:Specialized journals are useful when posting entries for frequent business transactions. For example, a cash receipt journal captures cash transactions. This is different from an accounts receivable subsidiary ledger, which shows a payment and transaction history for each customer who bought items with credit

Social media listening falls under which of the following types of research?
Select one:
a. Ethnographic research.
b. Netnography research.
c. Sentiment research.
d. Observational research.
e. Survey research.

Answers

Social media listening falls under the type of research called "Netnography research". The type of research method it is gives access to allow individuals to observe the online communities, comprehend the various sentiments and moods among the people, and then develop a main answer from the research.

Explanation:Netnography is a research methodology that includes the study of online communities. In other words, netnography is the technique of ethnography utilized to investigate computer-mediated communication and social interaction in online communities. It is a form of qualitative research used to analyze online communities and the communication that takes place there.Netnography is utilized by social media analysts and marketers to gather data on their brand or product and understand the opinions and sentiment of their target market.Social media listening falls under the type of research called "Netnography research". It is an observational research method that involves taking notice of how people interact with online communication tools.

Social media listening is an approach that focuses on gathering data from social media. Netnography is a research methodology that includes the study of online communities. In other words, netnography is the technique of ethnography utilized to investigate computer-mediated communication and social interaction in online communities.  It is an observational research method that involves taking notice of how people interact with online communication tools.

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From the different types of research that we have,  we can say that Social media listening falls under d. Observational research.

What is Observational research.

Social media listening involves monitoring and analyzing conversations, discussions, and mentions of a brand, product, or topic on social media platforms. It is a method of observing and gathering information from social media channels.

Observational research involves systematically observing and recording behaviors, events, or phenomena without manipulating or intervening in the natural environment. In the case of social media listening, researchers observe and analyze the content and conversations happening on social media platforms without directly influencing or controlling them.

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Since 2010, the UK government has made some progress in reducing the budget deficit by implementing a tight fiscal policy. The deficit has fallen from 9.9 % of GDP (post war) to almost 2% of GDP in 2017-18. Using an appropriate diagram, evaluate the effects of pursuing such a policy on other macro-economic objectives.

Answers

Implementing a tight fiscal policy, aimed at reducing the budget deficit, can have various effects on other macroeconomic objectives. Let's consider some of these effects using an appropriate diagram.

One of the macroeconomic objectives affected by fiscal policy is economic growth. Tight fiscal policy, characterized by reduced government spending and higher taxes, can potentially slow down economic growth in the short run. This is because reduced government spending directly decreases aggregate demand, which can lead to lower levels of output and employment. In the diagram, this would be represented by a leftward shift of the aggregate demand curve (AD).

Additionally, tight fiscal policy can also have implications for inflation. If the reduction in government spending and higher taxes lead to a significant decrease in aggregate demand, it can put downward pressure on prices. This can result in lower inflation rates. In the diagram, this would be depicted by a leftward shift of the aggregate demand curve (AD), leading to a lower price level.

Another macroeconomic objective affected by fiscal policy is unemployment. As mentioned earlier, tight fiscal policy can potentially slow down economic growth, which may result in higher unemployment rates in the short run. The decrease in government spending can directly impact sectors that heavily rely on government contracts or funding, leading to job losses. In the diagram, this would be illustrated by a decrease in employment levels, shifting the economy away from full employment.

However, it is important to note that the long-term effects of tight fiscal policy can differ. By reducing the budget deficit, the government can restore confidence in the economy, leading to lower interest rates and increased private investment. This can potentially stimulate economic growth and create new job opportunities in the long run. In the diagram, this would be represented by an increase in investment and a rightward shift of the aggregate demand curve (AD).

Overall, the effects of pursuing a tight fiscal policy on other macroeconomic objectives depend on various factors, including the size of the fiscal adjustment, the state of the economy, and the responsiveness of other sectors to changes in government spending. It is crucial for policymakers to carefully evaluate these effects and strike a balance between reducing the budget deficit and promoting sustainable economic growth and employment.

Note: The diagram referred to in the response is a standard aggregate demand and aggregate supply (AD-AS) diagram used to analyze macroeconomic relationships.

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Which answer best describes the topics covered in Sprint Planning?
A. What to do and who will do it.
B. How conditions have changed and how the Product Backlog should evolve.
C. What can be done and how to do it.
D. What went wrong in the last Sprint and what to do differently this Sprint.
E. Who is on the team and what team member roles will be.

Answers

Option B is correct. The answer that best describes the topics covered in Sprint Planning is how things change and how the Product Backlog evolves.

Sprint planning answers three questions. why, what, how This is the complete list of all tasks in the sprint. The goal of sprint planning is to identify the most important details about the work your team plans to do during the next sprint. With this in mind, the Sprint Team should plan to address at least the following topics during this meeting: In fact, you can use the following points as the basis for your team's meeting agenda.

Determine the team's overall strategic goals for the next sprint. (This is presented as a one- or two-sentence sprint goal.)

Review the product backlog and discuss which items are in the next sprint backlog and why. Seek team consensus (led by the Scrum Master) on proposed sprint goals and backlog items.

Discuss team capabilities. Discuss known issues that may block or slow progress in the Sprint Backlog.

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Assume that you are interested in earning some return on idle balances you usually keep in your checking account and decide to buy some money market mutual fund shares by writing a check. Everything else theâ same, M1 will â¼ stay the same decrease increase and M2 will

Answers

M1 will decrease, M2 will stay the same, after deciding to buy some money market mutual fund shares.

What are mutual funds?A corporation that pools money from several people and invests it in securities like stocks, bonds, and short-term debt is known as a mutual fund. The portfolio of a mutual fund refers to all of its holdings. Mutual fund shares are purchased by investors. Each share reflects a shareholder's ownership interest in the fund and the revenue it produces. Money market funds, bond funds, stock funds, and target date funds are the four primary categories into which most mutual funds fit.

Money market funds are comparatively risk-free. They are only permitted by law to invest in a select group of high-quality, short-term securities issued by American businesses and national, state, and municipal governments.

Therefore, M1 will decrease, M2 will stay the same.

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The risk of bankruptcy tends to travel with the risk of foreclosure since both can result from financial distress. Known popularly by its section in the Federal Bankruptcy Code, which of the following types of bankruptcy is a court-supervised workout for a troubled business?
A) Chapter 7 bankruptcy
B) Chapter 13 bankruptcy
C) Chapter 11 bankruptcy
D) Chapter 1 bankruptcy

Answers

Option C is correct. The type of bankruptcy is a court-supervised workout for a troubled business is Chapter 11 bankruptcy.

The primary goal of restructuring and bankruptcy attorneys is to keep their clients out of bankruptcy. The technical word "bankruptcy" refers to situations in which financially troubled businesses petition for Chapter 11 restructuring under court supervision when they are unable to do so on their own.

According to Don Bernstein, chair of Davis Polk's restructuring division, the corporation must successfully "restructure its debt to the it together and retain its value" in order to avoid this situation. However, whether through litigation or not, the road to financial sustainability can be difficult. Since there are so many different actors involved and legal expertise is required, bankruptcy and restructuring are rather complex practices.

Lawyers for bankruptcy and reorganization must be skilled in both transactional work and litigation in a variety of fields, including M&A, securities, banking, labor and employment, environment, tax, and intellectual property.

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The process of deposit withdrawal, usually because of lower interest rates paid by FIs, for reinvestment elsewhere is called

Answers

The process of deposit withdrawal, usually because of lower interest rates paid by FIs, for reinvestment elsewhere is called "disintermediation".

The disintermediation occurs when individuals or organizations move their funds out of traditional financial intermediaries such as banks or credit unions, and invest directly in alternative investment vehicles or higher-yielding options.

This term also can happen when individuals seek better returns on their investments or when they find more favorable terms and conditions elsewhere.  

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suppose a new employer is also relocating to haaland city and will be attracting many new people who will want to buy new houses. assume that the change in licensing requirements mentioned in question 7 occurs at the same time. what do you think will happen to the equilibrium quantity of new homes bought and sold in haaland city?

Answers

It is likely that the equilibrium quantity of new homes bought and sold in Haaland city will increase.

The influx of new people who want to buy new houses will increase the demand for homes, which would shift the demand curve to the right. This would lead to a new equilibrium with a higher price and quantity. However, the change in licensing requirements may also affect the supply of new homes, which could potentially offset some of the increase in demand.

If the licensing requirements make it more difficult or costly for builders to construct new homes, the supply curve could shift to the left, resulting in a higher price but potentially a lower quantity. Ultimately, the exact impact on the equilibrium quantity will depend on the magnitude of the shifts in demand and supply.

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The organization that is primarily responsible for developing GAAP for use by all U.S. companies is the:

Answers

Answer:

C. FASB

Explanation:

The FASB refers to the Financial Accounting Standards Board that is an independent non profit organization who is responsible for developing accounting and finance related standards for reporting with respect to companies and non profit organization in the United states that followed GAAP

So as per the given situation, the option C is correct

compare and contrast reference theory of meaning and idea theory of meaning

compare and contrast reference theory of meaning and idea theory of meaning

Answers

Explanation:

Reference theory of meaning is a philosophical thought that believes the meaning of a word or acronym is doing in what it points out in the world. But the idea theory of meaning feels the meaning of a word or acronym lies in the group it represents.

For example, the meaning of the term would be seen as relating to illnesses and viruses as well as number of years from the point of view of idea theory of meaning. While the reference theory of meaning would allude the meaning using proper reference to the illness (Coronavirus) that caused the disease.

Landscapers must be
knowledgable of which of the
following?
A. Pesticides
B. Economics
C. Human Relations
D. Crop Rotation

Answers

Answer:

B

Explanation:

because they need to deal with all practices that are done by people on environment

Answer:

C

Explanation:

Landscapers need to know human relations because if they want to get something to do for their job, marketing and having an asset is important for the business, if you don't know anyone that needs help, it wouldn't be very good for your business.

Have an awesome day!! I hope this helped!! ^ ^

What is the expected return on the portfolio where 50 percent of your money is invested in a risky asset with a return of 19 percent and the balance in a risk free asset that yields 5 percent

Answers

The expected return of the portfolio is 12 %

The expected return is the weighted average return of the constituent of the portfolio.

E[R] = W1 * R1 + W2 * R2 + ..... Wn * Rn

For this question,

E[R] = (50% * 19%) + (50% * 5%)

E[R] = 9.5% + 2.5%

E[R] = 12% --> Expected return of portfolio.

The expected return is calculated by multiplying the weight of each asset by its expected return. Then add the values for each investment to get the total expected return for your portfolio.

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Allison would like to find all records that are in stock. In her database, she has a field named "in stock." When the item is in stock, a "yes" appears. What should Allison do?


Conduct a query and set the criteria as =yes.

Conduct a query and set the criteria to >2.

Locate each record and check each one.

Sort the records in ascending order by item number.

Answers

Answer: she should conduct a query and set the criteria to >2

Explanation:

Don’t know this but I tried I am only in 9th grade

what are some good reasons to become a illustrator

Answers

Answer:

able to create anything on a daily basis, sketch, and you can also get really big rewards from it

If the risk-free rate is 3 percent and the market risk premium is 8 percent, what is the required return for the market?
Select one:
a. 2.67 percent
b. 11 percent
c. 5 percent
d. 3.75 percent

Answers

The required return for the market is option b. 11 percent. This is calculated by adding the risk-free rate of 3 percent to the market risk premium of 8 percent.

The risk-free rate represents the return an investor can expect to receive from a risk-free investment, such as a government bond. The market risk premium, on the other hand, measures the additional return an investor expects to receive for bearing the risk of investing in the overall market. By summing these two components, we obtain the required return for the market, which reflects the compensation investors demand for investing in the market rather than a risk-free asset.

In this scenario, the required return for the market is determined to be 11 percent. This implies that investors expect an annual return of 11 percent when investing in the market, taking into account the risk-free rate and the additional risk associated with market investments.

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what is journal entry for purchase goods from ram on cash rs 4000​

Answers

Answer:

Purchased a/c ........Dr. rs.4000

To, cash a/c rs.4000

Can someone please help me with this if your not going to help please don't comment thank you. I'm only saying this because I saw someone asked ant the person replied this is so long ​

Can someone please help me with this if your not going to help please don't comment thank you. I'm only

Answers

(a) This transaction increases inventory and creates a new liability of $770 for accounts payable.

(b) This transaction increases cash at bank and decreases accounts receivable by $280.

(c)

This transaction increases fixtures and decreases cash at bank by $1,000.

How did we get these assertions?

Using the information given, we can create the following statement of financial position (balance sheet) as at 30 April 2017:

Statement of Financial Position (as at 30 April 2017)

Assets Amount ($)

Fixtures 3,500

Motor vehicle 4,200

Inventory 4,950

Accounts receivable 3,280

Cash at bank 6,450

Cash in hand 120

Total Assets 22,500

Liabilities and Equity Amount ($)

Loan from T. Sasso 2,000

Accounts payable 1,600

Capital 18,900

Total Liabilities and Equity 22,500

After the transactions in the first week of May 2017, we can update the statement of financial position as follows:

Statement of Financial Position (as at 7 May 2017)

Assets Amount ($)

Fixtures 4,500

Motor vehicle 4,200

Inventory 5,720

Accounts receivable 3,560

Cash at bank 6,730

Cash in hand 120

Total Assets. 24,830

Liabilities and Equity Amount ($)

Loan from T. Sasso 2,000

Accounts payable 2,370

Capital 20,460

Total Liabilities and Equity 24,830

Explanation:

(a) Bought extra stock of goods $770 on credit

This transaction increases inventory by $770 and creates a new liability of $770 for accounts payable.

(b) Received $280 in cash from a customer

This transaction increases cash at bank by $280 and decreases accounts receivable by $280.

(c) Bought extra fixtures $1,000 by cheque

This transaction increases fixtures by $1,000 and decreases cash at bank by $1,000.

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how to calculate bank balance if the opening balance was R26041 and the total receipts were R39567​

Answers

Answer:

Answer:the the opening balance is =26041the total receive were=39567the the bank balance if opening=13526.

Explanation:

A $4,000 deposit is made into an investment account that pays
3.5% interest compounded continuously. How much will be in the
account after 4 years?

Answers

Step 1:

The amount in the account after 4 years, with a $4,000 deposit and 3.5% interest compounded continuously, will be approximately $4,495.72.

To calculate the amount in the account after 4 years with continuous compounding, we can use the formula \(A = P * e^(rt)\)  where A is the final amount, P is the initial deposit, e is the base of the natural logarithm, r is the interest rate, and t is the time in years.

In this case, the initial deposit (P) is $4,000, the interest rate (r) is 3.5% (or 0.035 as a decimal), and the time (t) is 4 years. Plugging these values into the formula, we get\(A = 4000 * e^(0.035 * 4)\).

Using a calculator or computer software to evaluate the exponential term, we find that\(e^(0.035 * 4)\)is approximately 1.14717. Multiplying this by the initial deposit, we get A ≈ 4000 * 1.14717 ≈ $4,495.72.

Therefore, after 4 years, the investment account will have approximately $4,495.72.

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Assume Justin purchased a home needing a $284,525 mortgage 72 months ago. The rate for his 30 year mortgage is 5.55%. What is his new payment if there is 2% of financing fees that are assumed in the new 15 year mortgage at 3.85%

Answers

Justin's new payment for the 15-year mortgage at 3.85% with a 2% financing fee is approximately $2,005.20.

To calculate Justin's new payment for the 15-year mortgage at 3.85% with a 2% financing fee, we'll first determine the principal balance after 72 months of payments on the original 30-year mortgage at 5.55%. Then, we'll calculate the new mortgage amount, considering the financing fee, and finally, compute the new monthly payment.

1. Original mortgage balance after 72 months:
- Principal: $284,525
- Interest rate: 5.55%
- Loan term: 30 years (360 months)

Using a mortgage calculator or the formula for mortgage payments (PMT = P * r * (1 + r)^n / ((1 + r)^n - 1), where P = principal, r = monthly interest rate, and n = number of payments), the original monthly payment is approximately $1,619.13. After 72 months of payments, Justin's remaining principal balance would be approximately $268,869.72.

2. New mortgage amount with 2% financing fee:
- Remaining balance: $268,869.72
- Financing fee: 2% of remaining balance (0.02 * $268,869.72) = $5,377.39
- New mortgage amount: $268,869.72 + $5,377.39 = $274,247.11

3. New payment for the 15-year mortgage at 3.85%:
- Principal: $274,247.11
- Interest rate: 3.85%
- Loan term: 15 years (180 months)

Using the mortgage payment formula again, Justin's new monthly payment for the 15-year mortgage at 3.85% would be approximately $2,005.20.

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Prepaid expenses require what type of adjusting entry? Question options: Matched Accumulated Accrued Deferral

Answers

Answer:

deferral

Explanation:

Adjusting entries are when changes are made to already recorded journal entries.

Categories of adjusting entries :

accrued revenuesaccrued expensesunearned revenuesprepaid expensesdepreciation.

Prepaid expenses are payments made for services yet to be delivered.

For example, paying for a year's worth of subscription on your streaming service

Prepaid expenses is an example of deferred payment, so the adjustment should be a deferral

How much would you pay (today) for a $500,000 growing perpetuity that begins in 1 year. Assume the annual discount rate (I/Y) of 5.5% and a 1.00% annual growth in the perpetuity payment that you will receive. Round your answer to the second decimal place.

Answers

We must pay $ 11,111,111.11 for a $500,000 growing perpetuity that begins in 1 year.

A perpetuity is an annuity that has no quit, or a movement of coins payments that continues all the time. There are few real perpetuities in lifestyles. for example, the UK government issued them in the past; these have been known as consols and have been all finally redeemed in 2015.

One example of a perpetuity is the United Kingdom's authorities bond referred to as a Consol. Bondholders will acquire annual constant coupons (interest bills) so long as they keep the amount and the authorities do no longer stop the Consol.

Perpetuity is conventionally mentioned in the commercial enterprise international as protection or bond that will pay for an endless quantity of time inside the destiny. To try and apprehend perpetuity, one is first had to understand annuity because perpetuity is a form of annuity that lasts all the time into perpetuity.

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How much would you pay (today) for a $500,000 growing perpetuity that begins in 1 year. Assume the annual

What days are BIM classes held?

Answers

Answer:

Classes take place on Mondays and Wednesdays from 4:00-6:00 pm EST, at The Plan Room located at 1815 W Broadway.

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this term refers to picking an initial set of units, then a second round of units that are nearby or have links to the first-round selection. there may be additional rounds. Assess the list of terms below and CIRCLE each ABIOTIC Factor. Water Temperature Grass InsectsAir Predation Disease Competition Look at picture for question. calculate the electrical potential at a point P a distance of 1 m from either two to charge of +10 micro coulomb and -5 micro coulomb which are 10 cm apart calculate also the potential energy of a +2 micro coulomb charge placed at a point p suppose a shot-putter who takes t = 1.3 s to accelerate the m = 7.23-kg shot from rest to v = 17 m/s raises it h = 0.775 m during the process. anxiety and depression what is it to you? Is string default in python?For example:pet_type = input('Pet type (dog/cat)')In this case, do I have to state str(input('Pet type (dog/cat)')? help me and please tell me how did you get the answer g assume that the government is currently balancing the national budget so that outlays equal tax revenues. then the economy starts to expand, and the government decides to decrease govenrment spending by $50 billion. as a result, the federal budget will The following are the benefits of regional integration, except: creating larger pool of consumers. encouraging economies of scale in production. increasing cooperation, peace, and security. increasing unemployment in certain industries. The European Union is a(n) encompassing 27 member countries. free trade area economic and monetary union customs union common market An ideal auto-transformer has its secondary winding labelled as a, b and c. The primary winding has 100 turns. The number of turns on the secondary side are 400 turns between a and b and 200 turns between b and c. The total number of turns between a and c is 600 turns. The transformer supplies a resistive load of 6 kW between a and c. In addition, a load of impedance 1,000 cis (45) ohms is connected between a and b. For a primary voltage of 1,000 V, find the primary current and primary input power. 15. Find the difference between the sum of378 and 401 and the product of 43 and 17. PLEASE HELP DUE TONIGHT!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!Select the correct answer from the drop-down menu. Which punctuation mark correctly shows that information is missing in the passage? Ludwig van Beethoven was born in the town of Bonn on December 16, 1770. Beethoven was only four years old when he began to study music. He learned to play many instruments (drop-down) The most amazing thing about Beethoven was that he lost his hearing when he was 30 years old. However, most of his great symphonies were composed after this time. Choices:A. ]B. :C. ....D. /E. ; consumer spends all of her income (Y) on two goods Z and B. The price of good B(PB) is \$8. The Marginal Rate of Transformation MRT is equal to 2. That is 2 units of good B can be traded for 1 unit of good Z. This consumer is able to buy 15 units of good Z and 0 units of good B with his/her income. What is this consumer's level of income? The consumer's income is $ (round your answer to the nearest penny). Given the following utility function: U=X+10Y and marginal utilities: MUx=1,MUy=10 A consumer facing the following prices: Px=$2,Py=1 chooses to consume: 6 units of good X and 13 units of good Y. Assume that graphically good X is on the horizontal axis and good Y is on the vertical axis. Given this consumption bundle, the marginal rate of substitution is equal to - (Round your answer to two decimal places. Note that the minus sign is already included.). Given this value, the consumer should consume 2. if the market amount is less than the recorded cost of the inventory, then record the lcm adjustment to the merchandise inventory account what factors did senators take into account in voting for or against these nominees? Neil Gorsuch, Brett Kavanaugh, and Amy Coney Barrett will someone also please check these answers, thanks.If a stock-market crash lowers people's wealth, what would be the effect on the market for minivans? A Demand increases Demand decreases Supply increases Supply decreases Question 10 8 Points Two driv Mary is saving money for college expenses. She saves the same amount each month. She saves the same amount each month. The table shows the amount of money Mary has saved after 4 and 7 months. Which statements about the this situation are true and support the relationship as being proportional? Select all that apply. 1. Write the absolute value inequality in the form |xb| c that has the solution set x Which of the following is a biotic factors in an ecosystem?