which company originally opened its theme park for employees to relax and have fun when they were not on the job?

Answers

Answer 1

An early inventor in the amusement park industry was Frederick Ingersoll. Although many individuals may not be familiar with the name Frederick Ingersoll, they may be familiar with the term Six Flags.

A businessman by the name of George Millay founded the first Sea World in the United States in San Diego in 1964 as theme parks began to gain popularity in the 1950s and 1960s. In 1977, inspired by the early designs of water slides, Millay founded the first recognized water park in Orlando, Florida. History. In 1983, Camp Snoopy made its debut at Knott's Berry Farm. This was the first amusement park to provide an area only for kids under the age of twelve. The history of the first theme park in the country is the tale of a family that has devoted themselves for seven decades to giving millions of visitors excellent, old-fashioned family enjoyment.

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Related Questions

how supply and demand, scarcity, and economic measurement affect the legal form of business

Answers

Supply and Demand (Affects Pricing, Supply, and Income) - When a company provides large amounts of the product they are selling, the price tends to remain at a constant price. When a company begins to have too much of one product, they will usually lower the price to sell more of it. When a company begins to lack stocking the shelfs of their product, they will increase the prices so that they will not run out. When demand increases, prices might also increase because they are aware it is a chance to make profit. When demand decreases, the price decreases.

Scarcity - When a business faces scarcity, or the lack of stocking shelfs, the company could possibly lose income and in the future face serious economic issues. Most businesses that face scarcity, usually face bankruptcy within the next 7 years due to the slow or quick decrease in profit and supply. When businesses face scarcity, limits on the amount each household can purchase can be enforced and prices will increase dramatically. In 2021, there was a known 7% increase on prices of many food items.

Economic Measurement is explained throughout the two paragraphs.

Donald Trump wanted to pull us out of the WTO because he thought China was cheating. Would you stay in or leave?

Answers

Answer: I hate Trump and would make him eat tortilla chip vertically :/

Explanation:

What term describes the amount of cash available in the short term and indicates the funds needed to operate a business of a given size?

Answers

The cash flows involved directly in the manufacture and selling of items from routine activities are referred to as operating cash flows.

What is a cash flow?

The net amount of cash and cash equivalents entering and leaving a business is known as cash flow. Money received and spent are used to represent inflows and outflows respectively. They could also profit from investments, royalties, licencing agreements, and interest payments. Even worse, they might sell products on credit with the intention of collecting the money due later. Evaluating the magnitude, timeliness, unpredictability, origin, and destination of cash flows is one of the most important objectives of financial reporting. Positive cash flow indicates that a company's liquid assets are increasing, enabling it to meet obligations, reinvest in the business, return money to shareholders, pay expenses, and provide as a safety net in the event of unanticipated financial challenges.

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The weather channel would most likely use a system where supervisors would be asked to rate their subordinates on various subjective characteristics like quality of work, quantity of work, dependability, cooperation, and creativity. systems like this are referred to as

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The system you are describing is commonly referred to as a performance appraisal system. It is a process of evaluating an employee's job performance against predetermined standards and criteria.

The purpose of this system is to provide feedback to employees on their strengths and weaknesses, identify areas for improvement, and make decisions about promotions, raises, and terminations.

The performance appraisal system typically involves supervisors rating their subordinates on various subjective characteristics like the quality of work, the quantity of work, dependability, cooperation, and creativity, as you mentioned. However, some organizations also use objective measures, such as sales figures or customer satisfaction ratings, to evaluate job performance.

There are different types of performance appraisal systems, including graphic rating scales, behaviorally anchored rating scales, and 360-degree feedback. Each type has its advantages and disadvantages, and organizations should choose the one that best fits their needs and culture.

It is important to note that performance appraisal systems can be controversial, as they are subject to biases and can create tension between employees and their supervisors. Therefore, it is crucial to ensure that the system is fair, transparent, and based on objective and measurable criteria.

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On 31 January 2017, you bought 200 shares of a company for $422.84 a share and on 31 January 2021 you sold them for $862.14 a share. In January 2021, you also received a cash dividend of $11.64 per share. Calculate the annual holding period yield (in percentage) on your investment.

Answers

The annual holding period yield (in percentage) on the investment of 200 shares purchased

at $422.84 a share and sold at $862.14 a share and a cash dividend of $11.24 per share is 14.27%.

Number of shares = 200

Cost per share = $422.84

Selling price per share = $862.14

Dividend per share = $11.24

To calculate the annual holding period yield of the investment, we need to determine

the holding period, the dividend, and the return on investment.

Holding period = (2021 - 2017) = 4 years

Dividend income = $11.24 x 200 = $2,248

Total revenue from selling shares = Selling price per share x Number of shares= $862.14 x 200 = $172,428

Total Cost of 200 shares = Cost per share x Number of shares= $422.84 x 200 = $84,568

Total Return on Investment = Dividend income + Total Revenue from Selling Shares - Total Cost of shares= $2,248 + $172,428 - $84,568= $90,108

Annual Holding Period Yield = ((Total Return on Investment / Total Cost of shares)^(1/number of years)) - 1= (($90,108/$84,568)^(1/4)) - 1= (1.06769^(1/4)) - 1= 0.135 = 13.5% (rounded to one decimal place)Therefore, the annual holding period yield (in percentage) on the investment of 200 shares purchased at $422.84 a share and sold at $862.14 a share and a cash dividend of $11.24 per share is 14.27%. (rounded to two decimal places).

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how important is it for top managers to pay a visit to a market or site before making a final decision?

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Very important. Field tours are typically used to completely analyze any difficulties that remain so that, in the event that a certain market or site is chosen, the conditions of any agreement are clearly understood.

Top management is made up of those who control an organization's resources, authority, and ability to make decisions. They also have control over how the organization changes.

Those in top management are those who "direct and oversee an organization at its highest level." Furthermore, it says that "top management has the ability to provide authority and allocate funds throughout the business."

A top-level manager is an executive-level professional who is in charge of developing and carrying out organizational plans and policies. They serve as the middleman in negotiations between upper- and lower-level managers. These experts could assist in directing an organization's overall course.

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Explain the various segments of the NSE

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Answer:

NSE provides trading in the following two segments (i) Whole Sale Debt Market Segment This segment provides a trading platform for a wide range of fixed income securities that include central government securities, treasury bills, state development loans, bonds issued by public sector undertakings, floating rate bonds, ...

the difference between the marginal social cost curve and the marginal cost of production curve is the:

Answers

The difference between the marginal social cost curve and the marginal cost of production curve is the Marginal external cost.

In economics, the marginal value is the trade within the overall value that arises while the amount produced is incremented, the price of manufacturing an additional amount. In some contexts, it refers to an increment of 1 unit of output, and in others, it refers to the rate of alternate total value as output is extended by way of an infinitesimal quantity. As parent 1 suggests, the marginal price is measured in greenbacks in step with the unit, while the overall price is in dollars, and the marginal value is the slope of the overall price, the charge at which it increases with output. The marginal fee isn't like the common price, that is the full price divided by the number of units produced.

At each level of manufacturing and time period is taken into consideration, marginal value includes all fees that change with the extent of manufacturing, while costs that don't range with production are constant. as instance, the marginal price of producing an automobile will include the expenses of exertions and elements needed for the extra automobile but no longer the fixed value of the factory constructing that doesn't alternate with output. The marginal cost may be both quick-run or long-run marginal price, relying on how large the fowl is, considering that ultimately even constructing size is chosen to shape the preferred output.

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My last points to help you.

My last points to help you.

Answers

Answer:

Thank you, I can help you too dear :)

Explanation:

Answer:)

Explanation:

You are told that if you invest $11,000 per year for 23 years( all payments made at the end of each year) you will have accumulated $366,000 at the end of the period What annual rate of return is the investment offering.

Answers

Answer:

3.2%

Explanation:

this is an ordinary annuity:

future value of an ordinary annuity = annual payment x future value annuity factor

$366,000 = $11,000 x future value annuity factor

future value annuity factor = $366,000 / $11,000 = 33.2727

you can solve this in two ways:

the first is with a lot of math work in order to solve the following equation

33.2727 = [(1 + i)²³ - 1] / i

or

you can use an annuity calculator (available online) which will yield 3.2%

When a corporation repurchases its bonds from the bondholders, the corporation the bonds.

Answers

These bonds are called retired bonds. The bonds are referred to be retired bonds when a corporation repurchases them from the bondholders. They are called so because they have been repurchased from the investors.

- More about retired bonds :

- Repurchasing previously issued bonds from investors is referred to as retired bonds. At the time of the instruments' scheduled maturity, the issuer retires the bonds. Another method of retirement is for the issuer to repurchase the bonds sooner if the bonds are callable.

- In the case of bonds, it means that the corporation is effectively returning the principal to the investors who purchased loans from them and discharging its debt obligations. Retired securities are those that have undergone this type of purchase back.

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- The complete question is :

When a corporation repurchases its bonds from the bondholders, the bonds are called ____ bonds.

A financial crisis, brought on in part by excessive spending and huge gambling losses by __________, resulted in forcing __________ to call __________ into session for the first time in 175 years

Answers

There are different kinds of crises. A financial crisis, brought on in part by excessive spending and huge gambling losses by Marie Antoinette, resulted in forcing Louis XVI to call Estates General into session for the first time in 175 years.

What is Estates General?

This was said to be a financial crisis, that started due to the high spending and huge gambling losses by a woman known as Marie Antoinette. Due to the above, it forced Louis XVI to call Estate general session for the first time in 175 years?

A financial crisis is known as any kind  of situations where some aspect of financial assets suddenly got lost in terms of their nominal value.

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When designing in-store signage, the supermarket omar manages develops yellow signs and shelf tags with bold lettering to catch consumers’ attention. The use of visuals in this manner represents the ________blank component of the communication process.

Answers

When the designing in-store signage, retailers often develop yellow signs and the shelf tags with bold lettering to catch consumers' attention. The use of visuals in this manner represents encoding component of communication process.

Who is a retailer?

A retailer purchases goods in large quantities from manufacturers, either directly or through a wholesaler, and then resells them to customers in more manageable amounts for a profit. Retailers are the final link in the supply chain between producers and consumers. Retail marketplaces have a lengthy history, with roots in antiquity. Retail businesses underwent a lot of development throughout the years, evolving from being little more than "rude booths" to the luxurious shopping malls of the present. In the digital age, an increasing number of business owners are attempting to reach broader markets by engaging in a variety of sales channels, including both conventional brick-and-mortar stores and online retailing.

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when a firm has , it can place more emphasis on other objectives.

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When a firm has achieved a strong financial position, it can place more emphasis on other objectives.

A strong financial position implies that the company has sufficient financial resources and a stable cash flow to meet its financial obligations, invest in growth opportunities, and withstand economic downturns. When a company is in a strong financial position, it can shift its focus to other important objectives such as expanding its market share, improving customer service, enhancing employee engagement, or investing in research and development.

By achieving a strong financial position, the company can have the financial flexibility to pursue its strategic objectives and long-term goals while ensuring its financial stability and sustainability.

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What‘s a zero-based budget, and why is it important?.

Answers

Answer:

A zero-based budget is the most efficient and useful way of budgeting because it makes you thin about how every dollar that you make is going to be spent so that you don't blow it all on unnecessary stuff. It is important because it allows you to not blow your money on wants instead of spending it on needs.

Explanation:

It should be right because I'm learning about it right now in Finance. Hope it helps! Plz give brainliest. Also, plz sub to Kgirl633 on yt.

What is an ERP system? How does it help a business operate?
The answer should be a complete paragraph (thesis sentence
and some evidence to back that thesis up).
12pt
Paragraph

Answers

An ERP system, or Enterprise Resource Planning system, is a software solution that integrates and manages business processes, enabling efficient operations and informed decision-making.

An ERP system, is a software solution that integrates and manages various business processes and functions within an organization, facilitating efficient operations and informed decision-making. It offers a multitude of benefits for businesses, enabling them to streamline operations, enhance productivity, and improve data accuracy.

With an ERP system in place, companies can automate manual processes, reduce redundant tasks, and optimize resource allocation, leading to improved efficiency and productivity. The system also serves as a centralized platform that eliminates data silos, ensuring data accuracy and integrity while providing real-time access to information for better decision-making. Moreover, an ERP system fosters effective communication and collaboration across departments, enhancing cross-functional coordination. It helps businesses in managing inventory effectively by offering visibility into stock levels, demand patterns, and supply chain activities.

Additionally, it enables efficient order management, from order processing to tracking fulfilment and handling customer inquiries. Financial management is also streamlined, as ERP systems automate accounting processes, generate accurate financial reports, and facilitate budgeting and forecasting. Furthermore, an ERP system supports customer relationship management (CRM) activities, enabling improved customer service, sales tracking, and targeted marketing campaigns. The system's analytics and reporting capabilities allow businesses to monitor key performance indicators (KPIs) and identify trends and opportunities. Compliance with regulatory requirements is also enhanced through standardized processes and data integrity controls. Finally, an ERP system supports scalability and growth by providing a flexible platform that can accommodate organizational changes and expansion. Overall, an ERP system acts as a comprehensive tool that integrates, streamlines, and optimizes various aspects of business operations, enabling organizations to improve efficiency, make informed decisions, and drive growth.

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It can be referred from the text that ...
The GMX 200 is a disposal garbage
b. Used batteries can be replaced in the product
c. The users will get full refund if there is malfunction during the guarantee period
d. There are two kind of batteries to replace the old batteries​

Answers

This question is incomplete because the text is missing; here is the missing part:

Text 1

1. Remove the back cover, using a small screwdriver to loosen the screw

2. Remove batteries and replace with two new AAA batteries. use the + and - signs to position correctly. dispose of used batteries properly.

3. Replace the cover and tighten the screw with the screwdriver

4. Reset the time using the side buttons

The GMX 200 is guaranteed to keep time accurately for one full year from date of purchase should it malfunction in any way during this time period, your money will be refunded in full.

The correct answer to this question is C. The users will get full refund if there is malfunction during the guarantee period.

Explanation:

This text provides instructions to change the battery in a GMX 200, which can be inferred it is a clock or similar device. This text explains the different steps users need to follow to change batteries. Moreover, in the last section of the text, it is clarified if there is any failure during the first year, which is the guaranteed time "your money will be refunded in full". According to this, it can be inferred during this time any malfunction implies the user gets a complete refund (option C.)

marcus finds that a check written by a customer and deposited has not yet been posted

marcus finds that a check written by a customer and deposited has not yet been posted

Answers

b is the correct answe

When the economy reaches the historic high inflation, FED would likely engage in (contractionary or expansionary)policy to (reduce or increase) the money supply.

Answers

When the economy reaches a historic high inflation, the Federal Reserve (FED) would likely engage in contractionary policy to reduce the money supply.

This is due to the fact that high inflation signals an excessive rise in the general level of prices which reduces the purchasing power of money and may cause economic instability.

The FED can use contractionary monetary policy tools to fight inflation, including raising interest rates tightening bank reserve requirements and open market sales of government securities. These actions decrease the amount of money that is available to the economy increasing the cost of borrowing and tightening credit requirements. The FED wants to slow down investment and spending which helps to reduce inflationary pressures. This is accomplished by reducing the money supply.

It's important to keep in mind that the FED specific policy decisions would depend on the state of the economy and the level of inflation. The FED policy decisions are based on a careful analysis of various economic indicators and objectives with the primary goals of the FED being to promote price stability and maximize employment.

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Critically discuss the effects of ""Counterproductive work behaviour"" in organisations

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Counterproductive work behavior refers to actions or behaviors that hinder organization goal & productivity. It can lead to reduced morale, decreased productivity, increased turnover, damage to organizational reputation and culture.

Counterproductive refers to actions or behaviors that have the opposite effect or result from what is desired or intended. It is important to recognize and address counterproductive elements within organizations or individuals because they can hinder progress, efficiency, and overall success. Counterproductive behaviors may include procrastination, resistance to change, excessive bureaucracy, poor communication, and ineffective teamwork. By identifying and addressing counterproductive behaviors, organizations can enhance productivity, improve work culture, foster innovation, and achieve desired outcomes. This may involve implementing new processes, providing training and development, promoting open communication, and cultivating a positive work environment.

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which of these best describes a person who is a qualified expert that helps people and businesses meet their long term financial goals?

Answers

A financial planner is a personal advisor who helps clients manage their financial affairs and work towards their long-term financial goals.

Financial is defined as providing money or credit for something. An example of finance is a bank lending someone money to buy a house. It refers to the corpus of funds and credit used in business. Business funds are necessary for the purchase of assets, goods, and raw materials, and for conducting other economic activities. Strictly speaking, it is required to perform all business transactions.

Finance is also important to strengthen corporate finance, as it enables companies to take risks and grow. As the use of technology increases, people are becoming more and more dependent on money to reach their goals. Finance is important for empowerment because it enables businesses to take risks and grow.

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in a deslotting allowance agreement, the risk of a new brand introduction is transferred from the manufacturer to the retailer. question 6 options: true false

Answers

The statement in a deslotting allowance agreement, the risk of a new brand introduction is transferred from the manufacturer to the retailer is true because a slotting charge, also known as a shelving fee or slotting allowance, is a cost that manufacturers pay to have their items placed on retail shelves.

It is a one-time fee that assures brands can stock a new product until its sales performance can be determined, which is normally between four to six months. Retailers utilize a slotting charge to build high barriers that make it tough to compete with larger competitors. There is also the possibility that retailers will take advantage of their position and charge high fees, earning at your expense.

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Emergency funds are calculated based on: A.) Retirement Planning B.) Monthly Expenses C.) Monthly Income D.) Investing for College

Answers

Answer:

B

Explanation:

Answer:

B

Explanation:

when a songwriter's publisher (publisher a) sells its entire catalog of song copyrights to another publisher (publisher b), publisher b is not expected to assume publisher a's obligations (such as payment obligations) to the songwriter.

Answers

when a songwriter's publisher (publisher a) sells its entire catalog of song copyrights to another publisher (publisher b), publisher b is not expected to assume publisher a's obligations (such as payment obligations) to the songwriter. this statement is false.

When a publisher sells its catalog of song copyrights to another publisher, the agreement between the parties typically includes provisions that determine which obligations and liabilities are transferred to the new publisher. This includes payment obligations to the songwriter or other parties involved in the creation of the songs.

In general, the purchasing publisher (publisher B) assumes the obligations and liabilities related to the songs it acquires. However, the specifics of the transfer and assumption of obligations may vary depending on the terms of the agreement between the publishers and any other parties involved, such as the songwriters or their representatives.

It is important for publishers and songwriters to carefully review and negotiate the terms of any copyright transfer agreements to ensure that their respective rights and obligations are clearly defined and understood.

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In two or three sentences, explain why real GDP per capita does not reflect the actual distribution of wealth.

Answers

Answer:

Real GDP per capita shows the level of output in a country divided equally by the number of people living in a country. But, in reality, output may not be distributed equally among everyone in the country.

Explanation:


In the United States, the 401(k) plan or Individual Retirement Account iS a defined
plan.

Answers

A defined contribution plan, often known as a cash or deferred arrangement, is a 401(k) plan.

What is a personal 401(k) plan?

When you work for yourself or as a partner in a company where the only employees are the partners and their spouses, you can maximize your savings with an individual 401(k), also known as an i401(k).

What is a defined benefit plan in a single 401(k)?

A Solo CB can be used in conjunction with a 401(k) Plan or as a standalone retirement plan. There is a compulsory contribution to a Solo CB because it is a defined benefit plan, but the plan also permits sizeable pre-tax retirement plan contributions, especially for business owners over the age of 50.

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differentiate between
Alkali metals and halogens
Halogens and inert gases.

Answers

Different: Alkali metals are metals, halogens are nonmetals. Alkali metals are all solids and the melting point decreases as they get bigger. Halogens can be solids, liquids, or gases at room temperature and the melting point increases as they get bigger.

If
there will be a
higher equilibrium price
and quantity.
supply increases and demand decreases
• demand increases and supply stays the same
supply increases and demand stays the same
• supply increases and demand increases

Answers

Answer: supply increases and demand decreases

Explanation:

When there's a higher equilibrium price, the producers will be willing to supply more goods to take advantage of the price rise. This will lead to an increase in supply of goods.

On the other hand, when is a higher equilibrium price, demand will reduce. Consumers will make less purchases. This follows the law of demand.

1) Why are Angel and Venture Capital Investors very interested in the size of the market for the venture's products. a) They are looking for a company that will able to dominate a small market niche b) They are looking for a company that has many well capitalized competitors c) They are looking for a company that even with a small market share will have revenues in excess of $100 million d) They are looking for a company that can grow revenues to at least $100 million so they can sell the company at a significant profit. e) C&D 2) Registration rights are: a) The company must pay for all costs associated with the registration of its articles of incorporation. b) The company must insure that all of its patents are registered with the US Patent Office c) The company must make sure that the management and board of directors are registered with the California Department of Corporations. d) If the Company is selling stock to the public the investors have the right to force the company to register their shares with the Securities Exchange Commission. e) None of the above

Answers

Given the statements, it is obvious that CARLOS is a young company performing well. The correct response is c) The company must make sure that the management and board of directors are registered with the California Department of Corporations.

But in need of some financial assistance to keep up with demand. The ideal kind of financing for the business will be venture capital. Carlos because venture capital funds are allocated to businesses that are emerging, in their early stages, or have the potential to grow more quickly As we can see, Carlos, it is both growing and developing. Only firms that are listed on the stock market may conduct an initial stock offering, and nowhere in the given statement is it indicated that Carlos is a company listed on the New York Stock Exchange or any other exchange.

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Type the correct answer in the box.

Lois is planning to raise funds for her new business venture. Which factor of production is she working toward?


Lois is planning to raise funds for her new business venture. She is working toward satisfying the __________ factor of production.

Answers

Answer:

Capital

Explanation:

Factor of production are defined as resources or input that are used in production process to get output.

The factors of production includes land, labour, and capital.

Although these are not part of the final product , they facilitate production.

In the given scenario Louis is planning to raise funds for her new business venture.

This is an activity aimed at raising capital for the business.

Capital is a sum of money that is used to start or run a business.

Answer:

The capital factor of production.

Explanation:

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