Based on the following information, calculate the variable overhead rate variance. Actual variable overhead cost $15,500 Actual hours used 4,200 Standard hours allowed 4,000 Standard variable overhead rate $3.75 per hour

Answers

Answer 1

Answer:

Rate variance = $250 favorable

Explanation:

The variable overhead rate variance is the difference between the actual variable cost and the standard variable overhead  cost the actual actual hours used.

We would compare the actual cost to the standard cost of the actual hours used . This is done below as follows:

                                                                                               $

4,200 hours should have cost (4200 × 3.75 )               15,750

but did cost                                                                       15,500

Rate variance                                                                      250  Favorable

Note the actual hours of 4,200 cost $250 less than it should be have cost . Hence the variance is favorable

Rate variance = $250


Related Questions

g An arbitrage opportunity arises when... Group of answer choices An investment has a high risk-return ratio. disparity between 2 or more prices allow investors to yield a sure profit the risk-free rate generates a positive alpha. a net investment is taken place within a portfolio

Answers

Answer:

disparity between 2 or more prices allow investors to yield a sure profit

Explanation:

Arbitrage is defined as the practice where there is simultaneous buying and selling of an asset so as to benefit from a price difference.

Usually the price differences occur in different markets, so the arbitrator acts as a supplier of the goods to market where goods are to be sold.

For example if a company buys fertiliser from a whole seller and immediately sells the goods to a farmer's cooperative at higher price this is arbitrage.

So abitrage opportunity is when disparity between 2 or more prices allow investors to yield a sure profit

Morgan Company issues 10%, 20-year bonds with a par value of $720,000 that pay interest semiannually. The current market rate is 9%. The amount paid to the bondholders for each semiannual interest payment is:

Answers

Answer:

$36,000

Explanation:

Calculation for the amount to be paid to the bondholders for each semiannual interest payment

Using this formula

Semiannual interest payment = Face value Amount*Interest Rate*Time

Let plug in the formula

Semiannual interest payment = $720,000*0.10*0.50

Semiannual interest payment = $36,000

The amount paid to the bondholders for each semiannual interest payment is $36,000

Winston contracts to sell a plot of land called Blackacre to Paris for $500,000. Winston breaches the contract and Paris sues him. Blackacre's reasonable market value at the time of the breach was $525,000. Paris can recover: Group of answer choices only $25,000.

Answers

Answer:

Correct Answer:

C) only $25,000.

Explanation:

In the case between Blackacre and Paris over the piece of land, the value recoverable will be the difference between the original value of the land the the newest value of the land when the breach of contract occurs. Hence, the only amount recoverable by Paris would be $25, 000.

Broad network access, measured service, resource pooling, and rapid elasticity are essential characteristics of ___________.

Answers

Answer:

cloud computing

Explanation:

All of these characteristics alongside on-demand self-service are essential characteristics of cloud computing. Cloud computing refers to the different computer system resources that are always available to a client when needed from any remote location, usually in regards to data storage and computing power, without actual direct active involvement by the user themselves. Allowing the user to access information or computing power remotely.

Make a list of some typical documentation you would request from a loan applicant and/or the verifications you would perform?

A. Make a list of at least three items that are important to double check before submitting a loan application to underwriting.

B. List at least two things you would be sure to tell a borrower in preparation for closing.

C. List at least three calculations that are typically used during the course of a mortgage loan transaction.

Answers

Answer:

a. Items that are important to double check before submitting a loan application to underwriting:

Personal ID DocumentsProof of IncomePersonal Credit Bureau Report

b. Things you would be sure to tell a borrower in preparation for closing:

Proof of Property Ownership or Guarantee PledgeContact details of 2-3 relatives or guarantors

c. Calculations that are typically used during the course of a mortgage loan transaction:

Loan to Value ratioDebt to Income ratioHouse expense ratio

Explanation:

The following are typical documentation and/or verifications to request from a loan applicant:

(A) 3 Items that are important to double check before submitting a loan application to underwriting are as follows;

Personal ID Documents (for background check)

Proof of Income

Personal Credit Bureau Report

(B) 2 things one would be sure to tell a borrower in preparation for closing are as follows;

Proof of Property Ownership (certificate of ownership)

Contact details of guarantors

(C) 3 Calculations that are typically used during the course of a mortgage loan transaction:

Debt to Income ratioHouse expense ratioLoan to Value ratio

Read more on loan documents:

https://brainly.com/question/24867222

Fed is open to changing bond policy Fed policymakers signaled for the first time that they could increase or decrease stimulation of the economy in the​ future, but not now. ​Source: Los Angeles Times​, May​ 1, 2013 What are the ripple effects and time lags that the Fed must consider in deciding when to increase or decrease stimulation of the​ economy?

Answers

Answer:

When the Fed raises the federal funds rate, the inflation rate decreases about two years later.

Explanation:

When trying to stimulate the economy either by increasing or decreasing, policymakers have to take into consideration how it would effect interest rate, amount of money available in the economy, loans that would be acquired by banks and the behavior of interest rate.

Interest rate can be impacted quickly even though the period of time it would take for such action to have a reflection on what quantity of money is available in the economy. Then also a period of 2 years would be taken for this action to take effect on inflation.

Therefore

When the Fed raises the federal funds rate, the inflation rate decreases about two years later.

Mr. Fred Mitchell is requesting the birth record for Amy, his birth daughter. Mr. and Mrs. Mitchell gave Amy up for adoption four years ago. Should you release the records to him? Why or why not?

Answers

Answer: No you should not

Explanation:

Mr. and Mrs. Mitchell gave Amy up for adoption four years ago and in effect legally voided their guardianship of her. As far as the law is concerned, they are no longer Amy's parents. As such, Mr Fred Mitchell requesting for information on the girl is akin to a stranger doing the same and so cannot be honored, at least not without the consent of the new parents.

Data pertaining to a company's joint production for the current period follows
Quantities produced 310 lbs. 260 lbs
Market value at split-off point . $10.2/lb. $20.4/lb
Compute the cost to be allocated to Product L for this period's $792 of joint costs if the value basis is used. (Do not round intermediate calculations.)
a. $295.81.
b. $49619.
c. $39600.
d. $2,926.00.
e. $962.19.

Answers

Answer: a. $295.81.

Explanation:

Using the value basis would mean that the product's share of the total market value will be used to determine it's share of the cost.

Total Market Value = Product L Market Value + Product M Market Value

= (310 lbs * 10.2) + ( 260 lbs * 20.4)

= ‭3,162‬ + ‭5,304‬

= $‭8,466‬

Product L's share of total market value

= 3,162/8,466

Product L's share of the $792 based on share of total market value

= (3,162/8,466) * 792

= $295.8072

= $295.81

In which of the following situations would a delegation of contractual duties be allowed? Multiple Choice A painter hired to paint your home. A sculptor hired to sculpt your bust. An actor hired to perform in a play. A surgeon performing brain surgery.

Answers

Answer:

A painter hired to paint your home.

Explanation:

Delegation of contractual duty occurs when the individual that is supposed to perform a task transfers the responsibility of performing the task to another person.

For example if someone is supposed to paint a house but he has other engagements. He can delegate to another painter to perform the painting.

Delegation does not transfer contractual rights as the original person still collects payment for performance of the task.

Usually delegation can occur for tasks that do not require special skill and can be performed by anyone.

In the other scenarios special skill is required so delegation will not be usually allowed.

A salesperson shows his broker an offer for one of his listings that has a good faith deposit in the form of a promissory note. The broker should tell the salesperson that: Group of answer choices

Answers

Answer:

The seller must be informed when the offer is presented that the depositis a promissory note

Explanation:

A good faith deposit is one that is done by a buyer in which conditions are stated that could result in the loss of deposit by the buyer.

It is a deposit made by the buyer to show he intends to complete the payment later.

In this instance if there is a Goodwill deposit in form of a promissory note, the broker needs to be aware.

So that when he is bringing in a client he will consider the already existing deposit.

Deals that offer more deposit or full payment will be considered and the original buyer discarded.

Which of the following statements is true?
A. Investment in another company's common stock is classified as a cash outflow from financing activities in the statement of cash flows.
B. Losses on the sale of long-term assets are an adjustment reported in the operating activities section of the statement of cash flows under the indirect method.
C. Dividends paid are classified as a cash outflow from operating activities in the statement of cash flows.
D. Re-payment of long-term debt is classified as a cash outflow from investing activities in the statement of cash flows.

Answers

Answer:

The answer is B.

Explanation:

Loss on the sale of long-term assets is an adjustment which will be added back to the net income. This is under the cash flow from operations when preparing cash flow using an indirect method.

Option A is incorrect because investment in another company is under investing activities.

Option C is incorrect because dividend paid are usually under financing activities (cash outflow)

Option D is incorrect because repayment of long term debt is a cash outflow under financing activities.

Which contingency of power are unions mainly applying by going on strike at a critical time in the company's business cycle

Answers

Answer:

Centrality

Explanation:

By going on strike at a critical time in business cycle the contingency of power is centrality. Centrality is the degree and nature of power of interdependence that exists between between the the person holding power and others. Centrality determines the number of people who are affected by the decisions made by the person holding power.

. Which of these statements is true about the field of organizational behavior? 1 point A. It examines how individuals and teams in organizations relate to one another and to their counterparts in other organizations. B OB researchers systematically study various topics at a common level rather than at multiple levels. C. Information technology has almost no effect on organizational behavior. D. The field of organizational behavior relies exclusively on ideas generated within the field by organizational behavior scholars. E. The origins of organizational behavior are traced mainly to the field of economics.

Answers

Answer:

A. It examines how individuals and teams in organizations relate to one another and to their counterparts in other organizations.

Explanation:

Organizational behavior examines how individuals and teams in organizations relate to one another and to their counterparts in other organizations.

An organizational behavior can be defined as the study of people's opinions, feelings, actions and how people perceive an organization.

This ultimately implies that, an organizational behavior is the study of people's opinions, feelings, actions and how people perceive an organization.

Basically, it measures how an organization relates with its external environments. This is very key to formulating policies, mission and achieving a successful long-term organizational goals and objectives.

he beginning share price for a security over a three-year period was $50. Subsequent year-end prices were $62, $58 and $64. The arithmetic average annual rate of return and the geometric average annual rate of return for this stock were:

Answers

Answer:

Arithmetic average rate of return = 9.30%

geometric average annual rate of return = 8.58%

Explanation:

share price at the beginning = $50

time = 3 year

price at the end of year 1 =  $62

price at the end of year 2 = $58

price at the end of year 3 =  $64

Annual rate of return in year 1 = ($62 / $50 - 1) x 100 = 24%

Annual rate of return in year 2 = ($58 / $62 - 1) x 100 = -6.45%

Annual rate of return in year 3 = \($64 / $58 - 1) x 100  = 10.34%

Arithmetic average rate of return = sum of annual rate of return / 3

Arithmetic average rate of return =  (24% + -6.45% + 10.34%) / 3

Arithmetic average rate of return = 9.30%

geometric average annual rate of return = { (1 + r1) x (1 + r2) x (1 + r3) }^1/3 - 1

= (1.24) x (0.9355) x (1.1034)^1/3 - 1  =  8.58%

On July 1, Shady Creek Resort borrowed $250,000 cash by signing a 10-year, 8% installment note requiring equal payments each June 30 of $37,258. What amount of interest expense will be included in the first annual payment

Answers

Answer:

Interest expense = $20,000

Explanation:

Loan Amortization: A loan repayment method structured such that a series of equal periodic installments will be paid for certain number of periods to offset both the loan principal amount and the accrued interest.  

The annual installment is computed as follows:  

Annual installment= Loan amount/annuity factor  

Annual installment is already given as = 37,258 (already given)

Interest payment = interest rate × Loan balance at the beginning of the year

DATA

Interest rate = 8%

Loan balance at the beginning of the year = $250,000

Interest expense = 8%× 250,000 = $20000

Principal paid = Annual installment - Interest = 37,258-20,000 = 17,258 (this  is not required but to explain the concept)

Interest expense = $20,000

If a corporation has a dividend payout ratio of 75%, the undistributed earnings (25%) will:_________.
A. increase earnings per share.
B. decrease book value.
C. increase capital in excess of par
D. increase retained earnings

Answers

Answer:

D

Explanation:

Retained earnings is what is left of net income after a company has paid out dividends to its shareholders.

You find a zero coupon bond with a par value of $10,000 and 21 years to maturity. The yield to maturity on this bond is 4.3 percent. Assume semiannual compounding periods.What is the price of the bond?

Answers

Answer:

Price of bond $4,092.49

Explanation:

Computation the price of the bond

Using this formula

Price of bond=Par value*1/(1+YTM/2)^(2*time period)

Where,

Par value=$10,000

1/(1+YTM/2)=1/(1+0.043/2)

(2*time period)=(2*21 years)

Let plug in the formula

Price of bond=$10,000*1/(1+0.043/2)^(2*21)

Price of bond=$10,000*1/(1.0215)^42

Price of bond=$10,000*(0.97895252)^42

Price of bond=$10,000*0.4092497467

Price of bond=$4,092.49

Therefore the price of the bond will be $4,092.49

The risk-free rate is 5% and the tangency portfolio has 20% expected return and 40% return standard deviation. A risk-loving investor has $1000 of wealth and she seeks to attain 27.5% expected return. How much money does she need to borrow from the bank? A. 250 B. 500 C. 1500 D. 1000

Answers

Answer:

B. 500

Explanation:

Portfolio return =  Weighted average return

Let the amount invested in portfolio is x and amount invested in risk free = 1000 - x

27.5% = 20%*x + 5%*(1000-x)

27.5% * 1,000 = 20%x + 50 – 5%x

0.275 * 1,000 = 15%x + 50

275 - 50 = 15%x

225 = 15%x

x = 225 / 0.15

x  =  $1,500

Hence, the amount of money borrowed = $1,500 - $1000

= $500

uestion 5
BROOKLYN LTD has developed a new product and is currently considering the marketing and pricing
policy it should employ for this. Specifically, it is considering whether the sales price should be set at Shs.
15,000 per unit or at the higher level of Shs. 24,000 per unit. Sales volume at these two (2) prices is shown
in the following table:
Sales price Shs. 15,000 per Unit
Forecast Sales volume Probability
20,000
0.1
30,000
0,6
40,000
0.3
Sales price Shs. 24,000 per Unit
Forecast Sales volume Probability
8,000
0.1
16,000
0.3
20,000
0.3
24,000
0.3

Answers

Answer:

BROOKLYN LTD

The selling price should be set at Shs. 15,000.  At this price, there are more sales in unit and value than at the selling price of Shs. 24,000.

Explanation:

a) Data and Calculations:

                                            Shs. 15,000   Probability  Expected Sales

Forecasted Sales Volume     20,000              10%         2,000

Forecasted Sales Volume     30,000              60%       18,000

Forecasted Sales Volume     40,000              30%       12,000

Total Expected sales                                                     32,000

Total Sales Value = Shs. 480,000,000 (Shs. 15,000 x 32,000)

                                       Shs. 24,000     Probability  Expected Sales

Forecasted Sales Volume       8,000              10%             800

Forecasted Sales Volume     16,000              30%          4,800

Forecasted Sales Volume    20,000              30%          6,000

Forecasted Sales Volume    24,000              30%          7,200

Total Expected sales                                                      18,800

Total Sales Value = Shs. 451,200,000 (Shs. 24,000 x 18,800)

data related to the inventories of alpine ski equipment and supplis is presented below 180000 the inventory of skis would be valued at

Answers

Answer:

$128,000

Explanation:

The computation of inventory of skis is shown below:-

NRV = Selling price - Sales commission

= $180,000 - ($180,000 × 10%)

= $180,000 - $18,000

= $162,000

Cost = $128,000

The cost which is $128,000 lower than $162,000 NRV

So, Inventory of Skis will be $128,000 which is Lower of cost or NRV

Therefore the correct answer is $128,000

A company estimates that it can sell 5,000 headphone each week if it prices each set of headphones at $20. However, its weekly number of sales will increase by 1000 units for each $1 decrease in price. At what price is revenue maximum? What is the maximum revenue and how many sets of headphones should the company expect to sell? Write your conclusions in a sentence.

Answers

Answer:

At what price is revenue maximum?

$13 and $12 per unit (maximum revenue $156,000)

What is the maximum revenue and how many sets of headphones should the company expect to sell?

$156,000

Write your conclusions in a sentence.

When the price is higher than $12 per unit, demand is elastic, which means any decrease in price will result in a larger proportional increase in quantity demanded. This in turn increases total revenue. Below $12 per unit, demand is inelastic, which means that a decrease in price will result in a smaller increase in quantity demanded.

Explanation:

price            quantity demanded       total revenue

$20                            5000               $100000

$19                            6000               $114000

$18                      7000                 $126000

$17                      8000                 $136000

$16                      9000               $144000

$15                      10000               $150000

$14                      11000               $154000

$13                      12000               $156000

$12                      13000               $156000

$11                             14000               $154000

$10                      15000               $150000

$9                      16000               $144000

$8                      17000               $136000

$7                      18000               $126000

$6                      19000               $114000

$5                      20000       $100000

$4                       21000        $84000

3                       22000        $66000

2                       23000        $46000

1                       24000        $24000

The mode of transportation that results in the lowest transportation cost will also lower total costs for a supply chain.
a) true
b) false

Answers

Answer: False

Explanation:

Transportation is the movement of individuals or goods from one place to another. Supply chain are the steps that are involved before a product will finally get to the consumer.

It should be noted that the mode of transportation that results in the lowest transportation cost will not necessarily lower total costs for a supply chain. This I because transportation isn't the only process involved on supply chain.

You short-sell 100 shares of Tuckerton Trading Co., now selling for $44 per share. What is your maximum possible gain, ignoring transactions cost

Answers

Answer:

$4,400

Explanation:

Calculation for the maximum possible gain, ignoring transactions cost

Using this formula

Maximum possible gain = Sale proceeds - Cost of purchasing the share

Let plug in the formula

Maximum possible gain = (100 shares *$44 per shares)- (100 shares *0) = 14000

Maximum possible gain=$4,400-0

Maximum possible gain=$4,400

Therefore the maximum possible gain, ignoring transactions cost will be $4,400

Pioneer Venture Capital firm recently offered a biotech company $50 million funding in exchange for 25% of the biotech company's ownership. What is the company's implied post-money valuation

Answers

Answer:

The company's implied post-money valuation is $200 million.

Explanation:

Post-money valuation is a technique that is employed to determine the value of a firm after making an investment in the company.

The calculation of the implied post-money valuation is done by dividing the investment amount offered by the percentage of ownership the investor is getting in exchange. This can be expressed as follows:

Implied post money valuation = Investment amount offered / Ownership percentage ............................ (1)

Since from the question, we have:

Investment amount offered = $50,000,000

Ownership percentage = 25%

Substituting the values into equation (1), we have:

Implied post money valuation = $50,000,000 / 25% = $200,000,000

Therefore, the company's implied post-money valuation is $200 million.

measures that can be taken to increase equilibrium level of income.​

Answers

Answer:

the government directly affects the level of equilibrium in come into specific ways government purchase of goods and services (G) increase aggregate demand and taxes and transfer separate the relation between income (d) and disposal income (YD) while the income available for consumption and savings with the households.

If the price of steel, an input into the production of automobiles, rises, and at the same time the price of gasoline rises, what will happen to the equilibrium price and quantity of automobiles

Answers

Answer:

a decrease in equilibrium quantity

an indeterminate effect on equilibrium price.

Explanation:

An increase in the price of steel would raise the production cost of cars. as a result the supply curve would shift inwards or to the left. price would rise and quantity would fall.

A rise in the price of gasoline would increase the cost of fuelling one's car. As a result the demand for cars would fall. the demand curve would shift inward. Quantity and price would fall.

Taking these two effects together, there would be a decrease in equilibrium quantity but an indeterminate effect on equilibrium price.

Check the attached image for a diagram explaining the effects of these changes

On July 1, Wildhorse Co. purchases 560 shares of its $5 par value common stock for the treasury at a cash price of $10 per share. On September 1, it sells 370 shares of the treasury stock for cash at $11 per share. Required:Journalize the two treasury stock transactions.

Answers

Answer:

Please see the journal entries for the two treasury stock transactions.

Explanation:

• Purchase of treasury stock

Treasury stock Dr $5,600

To Cash account Cr $5,600

(Being the purchase of treasury stock that is recorded)

For recording the above, treasury stock was debited because it increased the treasury while cash credited because it decreased the assets.

• Sale of treasury stock

Cash account Dr $4,070

To Treasury stock Cr $3,700

To paid in capital- treasury stock Cr $370

Explanation

° Purchase of treasury stock

Treasury stock

= 560 shares × $10 per share

= $5,600

° Sales of treasury stock

Cash receipt

= 370 shares × $11 per share

= $4,070

Treasury stock

= 370 shares × $10 per share

= $3,700

Paid in capital treasury stock

= 370 shares × ($11-$10)

= $370

Wilson Dover Inc. The total value (debt plus equity) of Wilson Dover Inc. is $500 million and the face value of its 1-year coupon debt is $200 million. The volatility (σ) of Wilson Dover's total value is 0.60, and the risk-free rate is 5%. Assume that N(d1) = 0.9720 and N(d2) = 0.9050. Refer to the data for Wilson Dover Inc. What is the yield on Wilson Dover's debt? a. 7.05% b. 6.04% c. 6.70% d. 7.42% e. 6.36%

Answers

Answer:

7.42%

Explanation:

Value = 500 million

Amount of debt = 200 million

Time = year

Volatility = 6%

Risk free rate = 0.05

Nd1 = 0.9720

Nd2 = 0.9050

We have to calculate the value =

500 - (500 x 0.9720 - 200 x e^-0.05 x 0.9050)

= 186.17 million

We now calculate the yield

(200/186.17)^1 - 1

= 0.0742

= 7.42%

The owners of a landscaping business decide they need insurance to cover their trucks in case of accidents , injuries caused by flying debris from their trimmers and blowers, and property damage caused by falling tree limbs. What type of policy should the owners consider to cover all of these risk?

Answers

A business owners policy

Answer:

it is a business owners policy

Explanation:

APEX

in which order would the expectancy theory place the following events? a) outcome valence, performance, effort b) performance, effort, outcome valence c) effort, outcome valence, performance d) performance, outcome valence, effort e) effort, performance, outcome valence

Answers

Answer: e. effort, performance, outcome valence

Explanation:

The expectancy theory analyses and explains the reason why people behave the way they do. The expectancy theory explains that individual behave the way they do because they believe their efforts which they put into a particular activity will bring about an outcome.

The first thing that comes first is the effort which one puts into an activity, after then is the performance and lastly the outcome.

Other Questions
Stock Investment Transactions On September 12, 2,000 shares of Aspen Company were acquired at a price of $50 per share plus a $200 brokerage commission. On October 15, a $0.50-per-share dividend was received on the Aspen stock. On November 10, 1,200 shares of the Aspen stock were sold for $42 per share less a $150 brokerage commission. In your computations, round per share amounts to two decimal places. When required, round final answers to the nearest dollar. For a compound transaction, if an amount box does not require an entry, leave it blank. Journalize the entries to record the original purchase, the dividend, and the sale under the cost method. Professor Sanders wants to study how constant distractions during an exam affect student performance. She randomly assigns her students to different classrooms where the experimental group will receive a predetermined number of distractions while taking an exam. In this study, the independent variable is the ________ and the dependent variable is the ________. A 51-foot wire running from the top of a tent pole to the ground makes an angle of 58 with the ground. If the length of the tent pole is 44 feet, how far is it from the bottom of the tent pole to the point where the wire is fastened to the ground? (The tent pole is not necessarily perpendicular to the ground.) Which of the following statements is true about leadership skills? a. Interpersonal skills refer to a leaders ability to interact with others. b. Cognitive skills refer to a leaders knowledge about an organization. c. Cognitive skills are developed through experience. d. Technical and interpersonal skills are innate. The sum of the product of a number x and 14, and 13 See if you can find the topic sentence in this paragraph. Remember, the topic sentence tells what the paragraph is about. (1) A motorcycle is an economical vehicle. (2) Its initial cost is only a fraction of the cost of a car. (3) It goes 50 or more miles to a gallon of gas. (4) Maintenance and repair costs are low. (5) Tires cost less than car tires. (6) For these reasons, I have decided to buy a motorcycle. Type the correct answer in the box. Use numerals instead of words. Enter the number of the topic sentence. How do you think the controversy of the Ten Commandments on Arkansas Capital grounds impacted by each opponent and proponent interpretation of this artifact? By the end of the accounting period, employees have earned salaries of $500, but they will not be paid until the following pay period. Which of the following is the proper adjusting entry? A) Credit Salaries expense for $500. B) Debit Salaries payable for $500. C) Credit Unearned revenues for $500. D) Debit Salaries expense for $500. Need to find the Domain and Range Which is one use for radioactive isotopes? sanitation architecture meteorology archaeology Directions: Repair grammar and punctuation errors in the sentences below.1. The little girl spoke so quiet that I could hardly hear her.2. Each driver should check the oil level in their car every three months.3. I hated to ask Anita who is a very stingy person to lend me money.4. She decided to quit her high-pressured job, she didn't want to develop heart trouble.5. The flakes in this cereal tastes like sawdust.6. Much of my boyhood was devoted to getting into rock fights, crossing railway trestles, and the hunt for ratsin drainage tunnels.7. Turning on the ignition, the car backfired.8. I asked the clerk if the store had Stevie Wonders latest CD.9. The decisions of the judge seems questionable.10. Earlier in the day, she took a taxi to the airport. Knowing that her time was limited.11. Anybody who wants more dessert should give their order to the pastry chef.12. You must observe all the rules of the game, even if you do not always agree with it.13. I first spotted the turtle playing tag on the back lawn. I need help with multistep equations A lawn-mowing company is trying to grow its business. It had 18 clients when they started its business and wants to increase by 4 new clients each week. Use an arithmetic sequence to write a function to represent this real-world situation and determine the range of the function for the first four weeks of data. The average monthly rainfall for 6 months was 28.5 mm. If it had rained 1mm more each month what would the average have been? By how much would the total have been increased in six months and by how much would average have been increased per month? What's the answer?? What subatomic particles surround the nucleus? Question 1 options: protons neutrons atoms electrons You look over the songs in a jukebox and determine that you like of the songs. (a) What is the probability that you like the next four songs that are played? (Assume a song cannot be repeated.) (b) What is the probability that you do not like the any of the next four songs that are played? (Assume a song cannot be repeated.) (a) The probability that you like the next four songs that are played is nothing. (Round to three decimal places as needed.) (b) The probability that you do not like any of the next four songs that are played is nothing. (Round to three decimal places as needed.) please help :) Which is a component of pseudoscience, but not science? A) explanations B) beliefs C) facts D) processes Determine what type(s) of angles are described by the following angle measures. Angle of 35 degrees. What word suggests the presence of something unpleasant. To maximize social welfare, the optimal quantity of a public good to provide should be determined through the use of: