Using the information below for Laurels Company; determine the manufacturing costs added during the current year:

Direct materials used $5,000
Direct labor 7,000
Total factory overhead 5,100
Beginning work in process 3,000
Ending work in process 4,000

a. $12,000.
b. $16,100.
c. $17,100.
d. $18,100.
e. $13,600.

Answers

Answer 1

Answer:

C. $17,100

Explanation:

The manufacturing cost for the year is computed as;

Manufacturing cost = (Direct materials + Direct labor + Total factory overheads) + Beginning work in process - Ending work in process

Direct materials

$5,000

Direct labor

$7,000

Total factory overheads.

$5,100

Direct manufacturing costs

$17,100

Add beginning work in process

$3,000

Less ending work in process

($4,000)

Total manufacturing costs

$16,100


Related Questions

On July 1, 2016, Killearn Company acquired 110,000 of the outstanding shares of Shaun Company for $14 per share. This acquisition gave Killearn a 25 percent ownership of Shaun and allowed Killearn to significantly influence the investee's decisions. As of July 1, 2016, the investee had assets with a book value of $5 million and liabilities of $620,000. At the time, Shaun held equipment appraised at $308,000 above book value; it was considered to have a seven-year remaining life with no salvage value. Shaun also held a copyright with a five-year remaining life on its books that was undervalued by $1,208,000. Any remaining excess cost was attributable to goodwill. Depreciation and amortization are computed using the straight-line method. Killearn applies the equity method for its investment in Shaun. Shaun's policy is to declare and pay a $1 per share cash dividend every April 1 and October 1. Shaun's income, earned evenly throughout each year, was $591,000 in 2016, $634,400 in 2017, and $682,400 in 2018. In addition, Killearn sold inventory costing $98,400 to Shaun for $164,000 during 2017. Shaun resold $117,000 of this inventory during 2017 and the remaining $47,000 during 2018. Determine the equity income to be recognized by Killearn during each of these years. Compute Killearn's investment in Shaun Company's balance as of December 31, 2018.

Answers

Answer:

A. 2017 $61,400

2018 $49,400

B. $1,650,800

Explanation:

A. Calculation to Determine the equity income to be recognized by Killearn during each of these years.

2017 EQUITY INCOME

Equity Income =(25%*$634,400)-($ 1 per share April 1 Cash dividend+$ 1 per share October 1 Cash dividend*$110,000)

Equity Income =$158,600-($2per share*110,000)

Equity Income =$158,600-$220,000

Equity Income =$61,400

2018 EQUITY INCOME

Equity Income =(25%*$682,400)-($ 1 per share April 1 cash dividend+$ 1 per share October 1 cash dividend*$110,000)

Equity Income =$170,600-($2per share*110,000)

Equity Income =$170,600-$220,000

Equity Income =$49,400

Therefore the equity income to be recognized by Killearn during 2017 is $61,400 and 2018 is $49,400 .

b. Computation for Killearn's investment in Shaun Company's balance as of December 31, 2018

Original Investment at Cost $1,540,000

( 110,000*14per share)

Add 2017 Profit shared (Net of Dividend) $61,400

Add 2018 Profit shares (Net of Dividend) $ 49,400

2018 Investment Value $1,650,800

($1,540,000+$61,400+$ 49,400)

Therefore Killearn's investment in Shaun Company's balance as of December 31, 2018 will be $1,650,800

In early 2018, selected automobiles had an average cost of $20,000. The average cost of those same motor vehicles is now $24,000. What was the rate of increase for this item over this time period

Answers

Answer:

20%

Explanation:

Calculation for What was the rate of increase for this item over this time period

Using this formula

Rate of increase= (Ending avarage cost − Beginning avarage cost )/ Beginning avarage cost

Let plug in the formula

Rate of increase= ($24,000 − $20,000) / $20,000

Rate of increase= $4,000/$20,000

Rate of increase= 0.2*100

Rate of increase= 20%

Therefore the rate of increase for this item over this time period is 20%

GROCERY STORE PROBLEM: A local grocery store faces demand for one of its items at a constant rate of 20,000 boxes per year. It costs them $5 to process an order and $0.50 per box per year to carry the item in stock. The stock is received three working days after an order is placed. Assume 250 working days in a year and no backordering. What is the demand during lead time assuming that there is no variability

Answers

Answer: 240

Explanation:

The following information can be gotten from the question:

Annual demand (D)= 20000

Daily demand (d) = 20000 / 250 = 80

Ordering cost (S) = 5

Holding cost (H) = 0.5

Lead time (L)= 3 days

The demand during lead time would be gotten by multiplying the daily demand by the lead time. This would be:

= 3 × 80

= 240

Farah and David decide to form a sports memorabilia retail partnership. They have known each other since business graduate school and have always worked well together on various projects. The business is doing well but cash flow is very tight. Farah takes several calls from vendors asking for payment. He believed David had been paying the bills. When he asks about this, David admits to embezzling from the partnership. What liability does Farah face as a result of the theft

Answers

Answer:

Farah faces a general partnership as a result of theft

Explanation:

General Partnership is simply a free association of two or more persons to carry on business for profit gains.

Partnership agreement is simply an agreement by two or more persons to do business together as a partnership in an oral or written form.

Based on the provided information, Farah faces a general partnership as a result of theft.

According to the question, we were to discuss about Farah and David who decide to form a sports memorabilia retail partnership and the liability that Farah faced.

As a result of this, we can see that she faced general partnership as a result of theft, general Partnership which is a free association of two or more party to share gain from a business,

Therefore, since David admits to embezzling from the partnership then it is a theft from partnership.

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Criblez Corporation has two divisions: Blue Division and Gold Division. The following report is for the most recent operating period:


Total company Blue Division Gold Division
Sales $431,000 $106,000 $325,000
Variable expenses 154,810 54,060 100,750
Contribution margin 276,190 51,940 224,250
Traceable fixed expenses 177,000 38,000 139,000
Segment margin 99,190 $13,940 $85,250
Net operating income $30,230

The Blue Division's break-even sales are closest to: _____

Answers

Answer:

The Blue Division's break-even sales are closest to  $276,212

Explanation:

Break even point is the level at which a firm makes neither profit nor loss.

Break-even sales (dollars) = Fixed Costs ÷ Contribution Margin

Where,

Contribution Margin = Contribution ÷ Sales

                                 = $276,190 ÷ $431,000

                                 = 0.64

Therefore,

Break-even sales (dollars) = $177,000 ÷ 0.64

                                            = $276,212

FVA Inc.’s net income for the most recent year was $40,825. The tax rate was 24 percent. The firm paid $10,320 in total interest expense and deducted $10,570 in depreciation expense. What was the cash coverage ratio for the year?

Answers

Answer: 7.23 times

Explanation:

Cash coverage ratio = Cash available/ Interest expense

Cash Available = Net Income before tax + Interest expense + Depreciation

= (40,825 / (1 - 24%)) + 10,320 + 10,570

= $74,607.11

Cash coverage ratio = 74,607.11/10,320

= 7.23 times

A SWOT analysis provides organizational strategists with key information and a realistic assessment and understanding of both the internal and external environments. This activity is important because a SWOT analysis is a useful tool in gathering information about the competitive environment to establish a grand strategy.

The goal of this exercise is to challenge your knowledge of SWOT analysis.
Wrtie down the most appropriate area of the SWOT analysis for each item.


1. The R&D program at the company produces world-class products
2. Our product is targeted to young professionals under 35 years of age. That group is growing.
3. The equipment the company owns is last generation and does not have the latest technology,
4- There have been several up and coming companies that are beginning to enter our market space,
5. Word is that a new highway is being built in the next couple of years. making it easier to transport our products from the factory.
6. The employees who work for us are highly skilled and leaders in their field.
7. Management does not provide a big budget to support the world-class staff that work for the company.
g. The company uses a fair amount of short-term debt financed through the bank. Economic projections indicate that interest rates may rise in the future and credit will be more difficult to obtain

Answers

Answer:

5.    Word is that a new highway is being built in the next couple of years. making it easier to transport our products from the factory.

Explanation:

a local pet store, pais with pawa, donates a portion of every saleto pet rescues in its communitythis exhibits the company's​

Answers

Tucytdfydtyjdyrtydydjtyfususuudjddjjdjdj is a op team player who is played in the cteam league roster roster for the players roster for players who are players team player team player rankings for the teams players in team team plays fhgtjydjtyddtyjfytdyjtdykdytdtydktyditydktyddtykftf team player rankings for players for team players who are team players players who have qualified teams players for players who have qualified teams for the players players who played in

Tax assessors cannot do "spot" reassessments of properties unless

Answers

unless material change in the property is reported

Tax assessors cannot do "spot" reassessments of properties unless a material change in the property is reported.

What is Tax assessors?

Tax assessor is a person who assess the value of the tax and makes the use of the property in order to determine the value of the tax. The work done by the tax assessor refers to the Tax assessment or simply just assessment.

The tax is calculated by the tax assessor in order to collect the tax, which will act as the revenue for the government. Those taxes are used for the defense works, purchase of technology and doing the welfare of society.

Therefore, it can be concluded that unless a major change in the property is disclosed, tax assessors are not permitted to perform "spot" reassessments of properties.

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Lawn Master Company, a manufacturer of riding lawn mowers, has a projected income for the coming year as follows: Sales $ 36,000,000 Operating expenses: Variable expenses $ 19,800,000 Fixed expenses 8,100,000 Total expenses 27,900,000 Operating profit $ 8,100,000 Required: 1. Determine the breakeven point in sales dollars. 2. Determine the required sales in dollars to earn a before-tax profit of $9,135,000. (Do not round intermediate calculations. Round your answer to the nearest whole dollar amount.) 3. What is the breakeven point in sales dollars if the variable expenses increases by 9%

Answers

Answer:

Lawn Master Company

1. Break-even point in sales dollars:

= $18,000,000

2. Required sales in dollars to earn a before-tax profit of $9,135,000:

= $38,300,000

3. The break-even point in sales dollars if the variable expenses increases by 9%:

= $20,224,719

Explanation:

a) Data and Calculations:

Sales                            $ 36,000,000

Operating expenses:

Variable expenses       $ 19,800,000

Contribution margin     $16,200,000

Fixed expenses                 8,100,000

Total expenses               27,900,000

Operating profit             $ 8,100,000

Contribution margin ratio = $16,200,000/$36,000,000 * 100 = 45%

Break-even point in sales dollars = Fixed cost/Contribution margin

= $8,100,000/0.45 = $18,000,000

Break-even point in sales dollars to earn a before-tax profit of $9,135,000

= (Fixed cost + target profit)/Contribution margin ratio

= ($8,100,000 + $9,135,000)/0.45

= $17,235,000/0.45

= $38,300,000

Break-even point in sales dollars if the variable expenses increase by 9%

Increased variable expenses = $21,582,000 ($ 19,800,000 * 1.09)

Contribution margin will reduce to $14,418,000 ($36,000,000 - $21,582,000)

Contribution margin ratio = $14,418,000/$36,000,000 * 100 = 0.4005

Therefore, break-even point in sales dollars = Fixed cost/0.4005

= $8,100,000/0.4005

= $20,224,719

The TSA suits:
A.
Engineering students.
B.
Construction students.
C.
Technology students.
D.
STEM students.

Answers

Answer:

STEM Students - TSA focuses on all areas of stem, not just technology.

Explanation:

got it correct

Kim is trying to decide whether she can afford a loan she needs in order to go to chiropractic school. Right now Kim is living at home and works in a shoe store, earning a gross income of $1,070 per month. Her employer deduct $210 for taxes from her monthly pay. Kim also pays $128 on several credit card debts each month. The loan she needs for chiropractic school will cost an additional $85 per month. Help Kim make her decision by calculating her debt payments-to-income ratio with and without the college loan. (Remember the 20 percent rule.)

Answers

Answer:

Even with the student loan, Kim's debt to income ratio is lower than 20%, so she should get the loan and attend chiropractic school.

Explanation:

debt to income ratio = total debt payments / total gross income

debt to income ratio without student loan = $128 / $1,070 = 11.96%

debt to income ratio with student loan = ($128 + $85) / $1,070 = 19.91%

the work in process inventory account of a manufacturing company shows a balance of $2,400. from this information, it appears that the compnay is suing a predetermined overhead rate, as a percentageof direct labor costs, of: g

Answers

Answer: 125%

Explanation:

Here's the complete question:

The Work in Process inventory account of a manufacturing company shows a balance of $2,400 at the end of an accounting period. The job cost sheets of the two uncompleted jobsshow charges of $400 and $200 for direct materials, and charges of $300 and $500 for direct labor. From this information, it appears that the company is using a predetermined overhead rate, as a percentage of direct labor costs, of:

A. 80%

B. 125%

C. 300%

D. 240%

First, we have to calculate the overhead cost of the incomplete jobs. This would be:

Ending Work in process balance = $2,400

Less: Direct materials cost of uncompleted Jobs = $600

Less: Direct labor cost of uncompleted Jobs = $800

Therefore, Overhead cost of Uncompleted Jobs = $1,000

Then, the predetermined overhead rate would be calculated as:

= Overhead cost / Direct labor cost of the uncompleted Jobs

= $1000 / $800

= 1.25

= 125% of direct labor cost

Rock industries allocates manufacturing overhead based on direct labor cost. any overallocated or underallocated overhead is closed monthly.calculate the cost of goods manufactured for november before procation of over or under allocated overhead

Answers

Answer:

Note: The full question is attached as picture below

Overhead Cost of one Month = Total Overhead Cost  / 12 Month

Overhead Cost of one Month = $403,200 / 12 month

Overhead Cost of one Month = $33,600

So, Overhead Chargeable Per Month is $33,600

PARTICULARS                                      AMOUNT

Direct Materials                                     $26,000

Direct Labor                                           $21,000

Manufacturing overhead Applied        $33,600

Total Manufacturing Expenses           $80,600

Less: Job Work in Process      

Direct Materials                                       $3,000

Direct Labor                                             $1,500

Cost of Goods Sold before proration  $76,100

of over or under allocated overhead

In the nation of Foxystan, a $500 decrease in consumer spending typically causes GDP to fall by $5000. The spending multiplier in Foxystan is equal to:

Answers

Answer:

Foxystan

The spending multiplier in Foxystan is equal to:

10 times.

Explanation:

a) Data and Calculations:

Decrease in consumer spending = $500

Decrease in GDP = $5,000

Spending multiplier in Foxystan is equal $5,000 : $500 = 10 times

The spending multiplier describes the ratio of change in consumer spending relative to the change in the GDP.  In Foxystan, the ratio of the change is 10 times.  This means that while consumer spending decreased by $500, it caused a 10 times decrease in the GDP.

Select the correct answer.
if you are friendly, outgoing, and love to travel, you might consider a career in what cluster?
A Arts and communication
B. Logistics and transportation
C Hospitality and tourism
D. Agriculture

Answers

B is the answer because logistics has to do with alot of transporting
C. Hospitable and outgoing travel. I think it works

Suppose Americans working in the textile industry decide to boycott goods made in the European Union. Explain how this boycott will affect each of the following: The supply of dollars The international value of the dollar

Answers

Answer: See explanation

Explanation:

The supply of dollars: The boycott by the Americans would result in the reduction in the supply of dollars on the international market. This is due to the fact that there will be less dollar going to the European Union.

The international value of the dollar: There'll be a depreciation in the value of the dollar. A reduction in demand would lead to decline in it's value.

Many economists believe there is a conflict between the economic goals of growth and equity. Do you agree or disagree? Provide your reasons.

Answers

Answer:

There should be no conflict between economic growth and equity. Some conflicts may arise, since generally economic growth benefits the richest more than the rest of the population, but government policies can offset this situation, and the living proof are Scandinavian countries.

The theory that leads to conflict is the trickle down effect (supply side economics) since it advocates for allowing rich people to get so rich that they will eventually realize that the only that they can get richer is by distributing some of their wealth. That never happens.

Supply side economics, and all other variations of classical economics, monetarism and neo-classicism are great in theory, but they have never worked in real life.

Compare and Contrast the four current perspectives of organizational effectiveness.

Answers

Explanation:

The four current perspectives of organizational effectiveness are the ability that a company has to acquire knowledge, use, share and keep.

In the globalized and competitive business scenario, the organizations that stand out and are well positioned are those that know how to use their resources most effectively, extracting knowledge from each organizational resource that will provide subsidies for the continuous improvement of all organizational systems.

A company can acquire knowledge through experience in the market, consulting, training, benchmarking, interactions, technologies, etc., and through this acquired knowledge it is necessary to use it in line with organizational objectives and goals and also having the responsibility that its actions and strategies will impact directly in the internal and external environment, so knowledge will align the company and its values ​​with the values ​​of its stakeholders.

Knowledge sharing is also essential for companies to manage human resources and transmit the values, policies, procedures, etc. to their workforce, which will guide the work and create an organizational climate favorable to individual and team development. job.

Storing information can be understood as meaningful and learned values ​​for companies that are valuable for their effectiveness and compliance with strategies.

It is ideal that companies adapt to new technologies and market trends, seeking to satisfy their stakeholders, exercise corporate governance and manage processes in search of continuous improvement.

Veronica earns $60,000 per year. Matt's yearly income is $37,000. In a progressive tax system,
O Veronica will pay less income tax and Matt will pay more
O Veronica and Matt will pay the same amount of income tax
O Veronica will pay more taxes and Matt will have a government flat tax rate this year
O Veronica will pay more taxes and Matt will pay less taxes to the government

Answers

Answer:

Veronica will pay more taxes and Matt will pay less taxes to the government

Explanation:

In a progressive tax system, the percentage rate of taxation increases as the income rises. It means that individuals with a high income will be taxed at a higher tax rate than low-income earners. A progressive tax rate is based on an individual income level; the higher the income, the higher the tax rate.

Veronica earns more than Matt. Under the progressive tax system, veronica will be taxed at a higher rate than Matt. Therefore, veronica will pay more taxes than Matt.

Question 9 of 10
April has joined a team with members from the sales, customer service, and
shipping and receiving departments. Which term best describes the team
April joined?
A. Problem-solving team
B. Self-managing team
C. Cross-functional team
ОО
D. Work team
SUBMIT

Answers

Answer:

Cross functional team

Explanation:

blah blah blah blah

Upon graduating from High School in 2019, you were granted a $6,000 college scholarship for academic year 2019-2020. As a full-time student and degree candidate during the fall term of 2019 you received $2,000 and spent $1,200 on tuition and fees, $300 on books and $500 on room and board. How much of your scholarship is taxable on your 2019 Federal return

Answers

Answer:

The answer is "$500".

Explanation:

The student is indeed a professional student and a graduate candidate of a qualifying organization and utilizes the sum of a grant for salary payments. The study money is income.  

Registered costs include university fees, book sales but do not cover room and boarding spending. In federal return, such expenditure for room and boarding is deductible. Even so, in the 2019 Fiscal return, $500 of the amount of the grant is deductible.


What is a continuous discussion to bring out innovative ideas from employees?

Answers

Answer:

Experiment to

generate ideas

Companies must let employees know they are open for innovation. Some companies do this by creating a designated space where employees can be creative. Most office spaces, which are normally a sea of cubicles, have little room physically and emotionally where creativity and innovation can flourish.

Give staff time

to work on ideas

Innovation needs time, and more often than not, employees feel they have none to spare. As a result, a growing number of companies are giving employees time away from the daily grind to work on projects of their own choosing. Some companies hold innovation days; others have hackathon sessions while others again give staff a set amount of time to work on projects that excite them, developing and testing new ideas                  

Invest in idea generation

Implement some of the ideas employees come up with. Ideas have to be implemented or they’re not worth anything. To truly innovate, companies need to ensure a culture that supports new ideas and new ways of doing business efforts, but also execute those ideas.

Explanation:

Answer:

Brainstorming

Explanation:

It's on the notes for Plato

RWJ inc., produces the different medical devices. the following relates to the three products for next year. under an activity-based costing system, the per-unit overhead cost of device z is closest to

Answers

Answer:

Exing relates to the three products for next yeaplaRWJ inc., produces the different medical devices. the following relates to the three products for next year.nation:

Jones borrows $50,000 from Bank of America. How does this transaction affect the accounting equation

Answers

Explanation:

Basis accounting principle says that asset account are debited when they are increasing and liability are credited when they are increasing and vice versa.

Therefore, in this transaction

Assets(cash in hand) increase by $50000, liabilities(loan) increase by $50000 and there is no effect on equity.

The accounting equation basically represents the balance sheet that shows the relationship between the assets of the firm, liabilities of the firm, and the equity of the firm. It is the basic pave for the book-keeping system and also equals the debits with the credits.  

The basis accounting principle says that asset account are debited when they are increasing and liability is credited when they are increasing and vice versa.

Therefore, in this transaction

Assets(cash in hand) increase by $50000, liabilities(loan) increase by $50000, and there is no effect on equity.

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A theory of strategic factor markets suggests that the resources a firm possesses might give it an advantage versus competitors in labor markets such as this one. Which firm resource might be consistent with this position

Answers

Explanation:

Organizations are integrated systems that use resources to achieve certain objectives and goals and become profitable and competitive.

Globalization was a phenomenon that contributed to an increase in the flow of information and changes in technologies and paradigms that contributed to a greater speed in consumer trends, and in the number of companies competing in the market.

Therefore, to achieve competitive advantage, it is not enough for the organization to use its resources in a conventional way, it is necessary to use strategies to add value to its processes. Considering the current business scenario, it can be said that the human resource in companies is the one that will give it a sustainable competitive advantage, since the knowledge acquired is one of the main resources used for the company to position itself in relation to competitors, each time more companies are promoters of social responsibility, so prioritizing knowledge and its stakeholders will always be the most advantageous option for creating value and competitive advantages.

A company had net income of $40,000, net sales of $300,000, and average total assets of $200,000. Its profit margin and total asset turnover were respectively:
Select one:
a. 13.3%; 0.2.
b. 13.3%; 1.5.
c. 2.0%; 1.5.
d. 1.5%; 0.2.
e. 1.5%; 13.3.

Answers

Answer:

a. 13.3%; 0.2.

Explanation:

Profit margin can be expressed as a ratio or a percentage. It is also called the gross profit ratio

The formula for gross margin

= net income/ net sales x 100

= $40,000/ $300,000 x 100

=13.33%

The formula for calculating asset turnover ratio is net sales divide by

average total assets.

=Net sales/ average total sales

=$40,000/$200,000

=0.2

2008 crisis question.

Answers

Answer: b. Glass Steagal separated the commercial loan balance sheet of a bank from the investment banking arm (a much riskier part of bank operation). It was important because without this separation, when a bank fails due to bad investments, it also fails all of its commercial duties to keep the economy liquid.

Explanation:

The 1920s came with a fast rising American economy. The stock market portrayed this rise by making huge profits for the public and so people wanted to get into stocks more and more until the stock market crashed and million lost money.

Some of those who participated had borrowed the funds from commercial banks which now had losses as they had loaned out money that could be used for other commercial duties. The proponents of Glass Steagal believed that separating a bank's commercial side from investing would fix this.

Create a flow chart that shows the hierarchy of the US Banking Systems.

Answers

Answer:

NOOB

Explanation:

2. Which of the following groups of users would primarily be interested in a company's annual
published financial statements?
A. Shareholders and suppliers
B. Management and employees
C. Shareholders and providers of finance
D General public, environmental pressure groups

Answers

Answer:

C. Shareholders and providers of finance

Explanation:

A company's financial report communicates the financial health of a business. It indicates whether a business is profitable and can meet its financial obligations.

Shareholders are the owners of a business. They are interested in the financial reports to know if their venture is making profits. Shareholders expect to earn dividends from the business. Only a profitable business is able to declare dividends. Financial reports guide shareholders in making decisions regarding the future of the business.

Lenders provide debt capital to a business. If the company is profitable, then lenders are happy because their payments are assured. Lenders rely on financial reports in deciding whether to extend or deny credit to businesses.

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