Suggest cost-effective ways of saving lives in an earthquake in the united states. How might your strategy be different in california and florida?.

Answers

Answer 1

One cost-effective way of saving lives in an earthquake is to increase public awareness and education about earthquake safety. This can include conducting earthquake drills in schools and workplaces, distributing information and guidelines.

Another cost-effective strategy is to retrofit buildings and infrastructure to make them more earthquake-resistant. This can include reinforcing existing structures, using flexible or shock-absorbing materials, and designing new structures with earthquake safety in mind.

The strategy for saving lives in an earthquake may differ in California and Florida due to differences in geology, building codes, and risk assessments. California is at a higher risk of earthquakes due to its proximity to the San Andreas Fault, and building codes in the state require seismic design standards. In contrast, Florida is at a lower risk of earthquakes, but is more susceptible to hurricanes, so disaster preparedness efforts may focus more on hurricane safety.

To know more about  earthquake click here

brainly.com/question/9415516

#SPJ11


Related Questions

The secondary market for corporate stock is closely watched because stock market movements are sometimes seen as

Answers

Due to the perception that stock market trends may be used to forecast future economic activity, the secondary market for company shares is frequently monitored.

The secondary market, which is similar to stock exchanges, is where investors purchase and sell securities from other investors. For instance, if you wanted to purchase Apple shares, you would do it via investors who already held it, rather than directly from Apple. Investors trade with one another rather than the issuing business in secondary markets.

The secondary market moves securities' prices in the direction of their true worth through a huge network of separate but related exchanges. The two main categories of secondary markets are over-the-counter marketplaces and stock exchanges. Stock exchanges are centralised marketplaces where trading in securities occurs without any interaction between the buyer and seller.

Learn more about secondary market Visit: brainly.com/question/17168396

#SPJ4

burger barn has been named as a plaintiff in a $5 million lawsuit filed by a customer over the addictive nature of the company's burgers. burger barn's attorneys have advised them that the likelihood of a future obligation from the suit is remote. what should burger barn do as a result of the information that is available?multiple choicedisclose the lawsuit in the notes to the financial statementsrecognize a $5 million liability on its balance sheet for the contingencyignore the lawsuit in its financial statementssettle with the customer immediately for $5 million to avoid harmful publicity

Answers

Burger Barn's attorneys have advised them that the likelihood of a future obligation from the lawsuit is remote. This means that there is a low probability that Burger Barn will have to pay the $5 million lawsuit.

Therefore, it would be inappropriate to recognize a $5 million liability on its balance sheet for the contingency. Ignoring the lawsuit in its financial statements is also not recommended as it may be seen as misleading to stakeholders. The best course of action for Burger Barn would be to disclose the lawsuit in the notes to the financial statements. This will ensure that stakeholders are informed about the potential liability and can make informed decisions about the company's financial position.

It is important for Burger Barn to be transparent about the situation and keep stakeholders informed. Settling with the customer immediately for $5 million to avoid harmful publicity may seem like a quick solution, but it may not be the best one. If the likelihood of a future obligation from the lawsuit is remote, then settling for such a large amount may not be necessary. Additionally, settling may set a precedent for future lawsuits and could be seen as an admission of guilt.

In summary, Burger Barn should disclose the lawsuit in the notes to the financial statements and keep stakeholders informed. It is important for the company to be transparent about the situation while also protecting its financial position.

For more such questions on lawsuit

https://brainly.com/question/31360444

#SPJ11

A major equipment purchase is being considered by Metro Atlanta. The initial cost is determined to be $1,000,000. It is estimated that this new equipment will save $100,000 the first year and increase gradually by $50,000 every year for the next 6 years. MARR = 10%.



Required:


a. The payback period for this equipment purchase is:_______


b. The B/C ratio for this investment is:__________


c. The NFW of this investment is : __________


d. Tara invests $2,500 today and another $1,500 a year from now. Her investments starting year 2 keeps increasing by $100 every year for the next 10 years from today. She stops investing from year 1 1 until year 20. If she earns a rate of return of 7% on her investments, determine future worth of her investments 20 years from now?

Answers

a. To calculate the payback period, we need to find out how many years it takes for the total cash inflows to equal the initial investment.

Year 1 cash inflow: $100,000

Year 2 cash inflow: $150,000

Year 3 cash inflow: $200,000

Year 4 cash inflow: $250,000

Year 5 cash inflow: $300,000

Year 6 cash inflow: $350,000

Total cash inflows = $1,350,000

Payback period = $1,000,000 ÷ $100,000 = 10 years

b. To calculate the B/C ratio, we need to find the present value of all the cash inflows and divide it by the initial investment.

PV of Year 1 cash inflow: $100,000 ÷ (1 + 10%)^1 = $90,909.09

PV of Year 2 cash inflow: $150,000 ÷ (1 + 10%)^2 = $113,636.36

PV of Year 3 cash inflow: $200,000 ÷ (1 + 10%)^3 = $136,363.64

PV of Year 4 cash inflow: $250,000 ÷ (1 + 10%)^4 = $159,090.91

PV of Year 5 cash inflow: $300,000 ÷ (1 + 10%)^5 = $181,818.18

PV of Year 6 cash inflow: $350,000 ÷ (1 + 10%)^6 = $203,214.23

Total present value of cash inflows = $885,032.01

B/C ratio = Total present value of cash inflows ÷ Initial investment = $885,032.01 ÷ $1,000,000 = 0.885

c. To calculate the NFW, we need to find the present value of all cash inflows and subtract the initial investment.

Total present value of cash inflows:

PV of Year 1 cash inflow: $90,909.09

PV of Year 2 cash inflow: $113,636.36

PV of Year 3 cash inflow: $136,363.64

PV of Year 4 cash inflow: $159,090.91

PV of Year 5 cash inflow: $181,818.18

PV of Year 6 cash inflow: $203,214.23

Total present value of cash inflows = $885,032.01

NFW = Total present value of cash inflows - Initial investment = $885,032.01 - $1,000,000 = -$114,967.99 (negative NFW means the investment is not worthwhile)

d. To calculate the future worth of Tara's investments after 20 years, we need to find the present value of her investments today and then compound it for 20 years at a rate of 7%.

Present value of Tara's investments today:

Investment 1: $2,500

Investment 2: $1,500 ÷ (1 + 7%)^1 = $1,401.87

Investment 3: $1,600.87 ÷ (1 + 7%)^1 = $1,491.10

Investment 4: $1,700.97 ÷ (1 + 7%)^1 = $1,583.05

Investment 5: $1,802.12 ÷ (1 + 7%)^1 = $1,676.76

learn more about initial investment here:

https://brainly.com/question/15610379

#SPJ11

Uppose the market demand function (expressed in dollars) for a normal product is

P = 80 – q, and the marginal cost (in dollars) of producing it is MC = 1q, where P is the

price of the product and q is the quantity demanded and/or supplied. A. B. C. D. 3. 4. 5. Suppose you were asked to comment on a proposed policy to control oil spills. Since the

average cost of an oil spill has been computed as $X, the proposed policy would require

any firm responsible for a spill immediately to pay the government $X. Is this likely to

result in the efficient amount of precaution against oil spills? Why or why not?

"In environmental liability cases, courts have some discretion regarding the magnitude

of compensation polluters should be forced to pay for the environmental incidents they

cause. In general, however, the larger the required payments the better. " Discuss. Label each of the following propositions as descriptive or normative and defend your

choice:

a. B. C. D. E. 6. How much would be supplied by a competitive market?

Compute the consumer surplus and producer surplus. Show that their sum is

maximized. Compute the consumer surplus and the producer surplus assuming this same product

was supplied by a monopoly. (Hint: The marginal revenue curve has twice the slope

of the demand curve. )

Show that, when this market is controlled by a monopoly, producer surplus is larger,

consumer surplus is smaller, and the sum of the two surpluses is smaller than when

the market is controlled by competitive industry

Answers

The consumer surplus is 800 and the producer surplus is 1560. The monopoly results in a larger producer surplus and a smaller consumer surplus is 2360, leading to a smaller total surplus compared to a competitive industry.

In a monopoly, the price is determined by equating marginal revenue (MR) with marginal cost (MC). Since the marginal revenue is twice the slope of the demand curve,

MR = 80 - 2q.

Setting MR = MC = q gives the monopolist's output as q = 40.

Substituting this output into the demand function, we get the monopoly price as

P = 80 - 40 = 40.

Consumer surplus is the area between the demand curve and the price line up to the quantity demanded, which is

(1/2) x (80 - 40) x 40 = 800.

Producer surplus is the difference between the price and the marginal cost times the quantity supplied, which is

(40 - 1) x 40 = 1560.

Under perfect competition, the price is determined by the intersection of demand and supply, which gives a price of P = MC = 1q.

The competitive output is q = 40, the same as the monopolist's output. Consumer surplus is the same as before, but producer surplus is

(40 - 1) x 40 = 1560,

which is the same as the monopolist's producer surplus. The total surplus is the sum of consumer and producer surplus, which is

(1/2) x (80 - 1) x 40 = 1560 + 800 = 2360,

which is greater than the total surplus under monopoly. Therefore, the monopolist's control over the market leads to a reduction in consumer surplus and total surplus, while increasing producer surplus.

To know more about marginal cost:

https://brainly.com/question/7781429

#SPJ4

--The given question is incomplete, the complete question is given

" Suppose the market demand function (expressed in dollars) for a normal product is P=80-q, and the marginal cost (in dollars) of producing it is MC=1q, where P is the price of the product and q is the quantity demanded and/or supplied.

(a) Compute the consumer surplus and the producer surplus assuming this same product was supplied by a monopoly. (Hint: The marginal revenue curve has twice the slope of the demand curve)

(b) Show that when this market is controlled by a monopoly, producer surplus is larger, consumer surplus is smaller, and the sum of the two surpluses is smaller than when the market is controlled by competitive industry."--

Develop a value chain that depicts six to nine activities that makes Fowler’s Farm competitive.


Evaluate the competitive advantage each activity confers upon the company.


Justify which activity you believe is the most valuable for company growth.


Justify your choice of the activity that you believe would benefit most from optimization or alteration.


Recommend a change that you would make to your selected activity to optimize it and support your assertion quantitatively. Make sure to include any assumptions or data values that need to be made to support your recommendation

Answers

Fowler's Farm can be competitive in the market by following a value chain that involves activities like seed selection, planting, cultivation, harvesting, packaging, distribution, marketing, and sales.

Each of these activities contributes to the competitive advantage of the company. Seed selection and cultivation ensure the quality of the produce, while packaging and distribution guarantee that the products reach the market fresh and in good condition. Marketing and sales activities increase brand awareness and customer reach, leading to increased sales and revenue.

Out of these activities, I believe that marketing and sales are the most valuable for the company's growth as they directly impact the revenue. The activity that I think would benefit the most from optimization or alteration is distribution. Improving distribution efficiency can help in reducing transportation costs and ensure timely delivery to the market, leading to increased sales.

To optimize distribution, I would recommend investing in a GPS-enabled tracking system to monitor the movement of the vehicles and optimize routes for timely delivery. Assuming an investment of $100,000 in this system, I estimate a reduction of $20,000 per year in transportation costs, leading to a 20% increase in revenue. This optimization can help the company to gain a competitive advantage in the market and increase profitability.

For more about competitive:

https://brainly.com/question/13686157

#SPJ11

The age discrimination in employment act specifically outlaws hiring practices that discriminate against people:_____.
a. who are between 39-69.
b. who are under the age of 18.
c. who are 40 and over.
d. who are between 16 and 20.
e. who are younger than 18 and older than 39.

Answers

The age discrimination in employment act specifically outlaws hiring practices that discriminate against people who are 40 and over. The correct option is c.

The Age Discrimination in Employment Act (ADEA) is a federal law that specifically prohibits hiring practices that discriminate against individuals who are 40 years of age or older. The ADEA was enacted in 1967 and applies to employers with 20 or more employees, including state and local governments.

The ADEA prohibits employers from discriminating against employees or job applicants on the basis of age in any aspect of employment, including hiring, firing, promotions, pay, and job assignments.

Additionally, the ADEA prohibits retaliation against individuals who file age discrimination complaints or participate in investigations related to age discrimination.

The law was enacted to protect older workers from discrimination in the workplace, as age discrimination can have significant negative effects on employment opportunities and financial stability.

The ADEA is an important protection for older workers, as it ensures that they are not unfairly discriminated against in the hiring process and throughout their employment.

To know more about age discrimination refer here :

https://brainly.com/question/30115861#

#SPJ11

Citibank need to borrow $1 million for 6 months starting in 2 years. Citibank is concerned about the interest rate would like to lock in the interest rate it pays by going long an FRA with Bank of America. The FRA specifies that Citibank will borrow at a fixed rate of 0. 03 for 6 months on $1 million in 2 years. If the 6 months LIBOR rate proves to be 0. 1. Then to settle the FRA, what is the cash flow to Citibank at the end of 2 years

Answers

The FRA between Citibank and Bank of America is a contract where Citibank agrees to borrow $1 million at a fixed rate of 0.03 for 6 months starting in 2 years. If the 6 months LIBOR rate at the end of 2 years is 0.1, then Citibank will receive a cash flow of $35000 from Bank of America to compensate for the difference between the fixed rate and the actual market rate.

To calculate the cash flow, we need to determine the settlement amount of the FRA. The settlement amount is calculated as:

Settlement Amount = Notional Amount x (Actual Rate - Agreed Rate) x (Day Count / 360)

Where:

Notional Amount = $1 million
Actual Rate = 0.1 (6 months LIBOR rate)
Agreed Rate = 0.03 (Fixed rate in the FRA contract)
Day Count = 180 (Number of days in 6 months)

Substituting the values in the formula, we get:

Settlement Amount = $1 million x (0.1 - 0.03) x (180 / 360)
Settlement Amount = $35,000

Therefore, Citibank will receive $35,000 from Bank of America at the end of 2 years to settle the FRA. This cash flow will help Citibank to lock in the interest rate and mitigate the risk of fluctuating interest rates in the market.

Learn more about LIBOR here: https://brainly.com/question/30974049

#SPJ11

The grouping of related activities into units is called______.a. coordinationb. division of laborc. unity of command and directiond. departmentalization

Answers

The grouping of related activities into units is called departmentalization.

Departmentalization is the process of grouping activities or tasks into units based on their function, product, customer, process or geographic location. It is a fundamental element of organizational design and involves creating specialized units within a larger organization, each with its own set of responsibilities and objectives.

The choice of departmentalization depends on various factors such as the size and complexity of the organization, the nature of its products or services, and the markets it serves. Effective departmentalization can improve organizational efficiency, facilitate communication and coordination, and enhance the organization's ability to adapt to changing conditions.

Learn more about departmentalization https://brainly.com/question/25823018

#SPJ11

Company X provides retailers with products for left-handed consumers. X buys products from a variety of manufacturers and stores the merchandise in its facilities until purchased by small retailers. Company X is an example of:a. Manufacturerb. Wholesalerc. Broker or agentsd. Retailer

Answers

Company X is a b) wholesaler.

Company X is not a manufacturer because it does not produce the left-handed products themselves. Instead, it buys the products from various manufacturers. It is not a broker or agent because it takes possession of the merchandise and stores it in its own facilities.

Finally, it is not a retailer because it does not sell the products directly to consumers. Instead, Company X sells the products to small retailers who will then sell the products to the end consumer.

Therefore, Company X fits the definition of a wholesaler - a business that purchases goods in large quantities from manufacturers and sells them to retailers.

For more questions like Wholesaler click the link below:

https://brainly.com/question/28256108

#SPJ11

On November 2, 2018, a U. S. -based company with the $US as its functional currency entered into a 90-day futures contract to purchase 90,000 Swiss francs when the contract quote was $1. 10. The purchase was for speculation in price movement. The following exchange rates existed during the contract period: 30 Day FuturesSpot Rate November 2, 2018$1. 04$1. 05 December 31, 2018$1. 06$1. 08 January 31, 2019$1. 07$1. 09 What amount should the U. S. -based company report as foreign currency exchange loss in its income statement for the year ended December 31, 2018

Answers

Answer: $3,000

Explanation: The US-based company should report a foreign currency exchange loss of $3,000 on its income statement for the year ended December 31, 2018.

Here's how to calculate it:

- The company entered into a 90-day futures contract to purchase 90,000 Swiss Francs on November 2, 2018, when the contract quote was $1.10.

- The company was speculating on the price movement of the Swiss Franc.

- There were three exchange rates that existed during the contract:

 - 30-day future spot rate on November 2, 2018, was $0.041

 - 60-day future spot rate on December 2, 2018, was $0.051

 - 90-day future spot rate on January 31, 2019, was $0.071

- The company's contract expired on January 31, 2019, which means that it had to purchase the Swiss Francs at the prevailing spot rate on that day.

- To calculate the foreign currency exchange loss, we need to compare the contract rate with the prevailing spot rate on January 31, 2019.

- The contract rate was $1.10, which means that the company agreed to purchase 90,000 Swiss Francs for $99,000.

- The prevailing spot rate on January 31, 2019, was $0.071, which means that the company had to pay $6,390 to purchase the 90,000 Swiss Francs.

- The difference between these two amounts is the foreign currency exchange loss: $99,000 - $6,390 = $92,610.

- However, the company only held the contract for 90 days, which means that it only held the contract during November and December 2018.

- To calculate the foreign currency exchange loss for the year ended December 31, 2018, we need to calculate the difference between the contract rate and the spot rate on December 2, 2018, which is $1.10 - $0.051 = $1.049.

- The company agreed to purchase 90,000 Swiss Francs for $99,000, so the notional amount of the contract was $99,000.

- The foreign currency exchange loss for the year ended December 31, 2018, is the notional amount of the contract times the difference between the contract rate and the spot rate on December 2, 2018

Javier and Anita Sanchez purchased a home on January 1 of year 1 for $1,000,000 by paying $200,000 down and borrowing the remaining $800,000 with a 6 percent loan secured by the home. The Sanchezes made interest-only payments on the loan in years 1 and 2. (Leave no answer blank. Enter zero if applicable. ) Problem 14-46 Part a a. Assuming year 1 is 2017, how much interest would the Sanchezes deduct in year 2?

Answers

Sanchezes would be able to deduct $48,000 interest in 2 years.

Based on the information provided, Javier and Anita Sanchez purchased a home for $1,000,000, paying a $200,000 down payment and borrowing $800,000 with a 6% loan. They made interest-only payments in years 1 and 2.

To determine how much interest the Sanchezes would deduct in year 2, we need to calculate the interest they paid on their loan for that year. Since their loan is a 6% interest-only loan, we can calculate the interest as follows:

1. Find the annual interest rate: 6% of the borrowed amount
2. Calculate the interest for year 2: 0.06 * $800,000

Now, let's perform these calculations:

1. 0.06 * $800,000 = $48,000

So, the Sanchezes paid $48,000 in interest during year 2. Assuming there are no changes in tax laws, the Sanchezes would be able to deduct the full $48,000 in interest in year 2.

Learn more about interest-only here: https://brainly.com/question/28486579

#SPJ11

A magazine provided results from a poll of 500 adults who were asked to identify their favorite pie. Among the 500 ​respondents, 12 ​% chose chocolate​ pie, and the margin of error was given as plus or minus 5 percentage points. What values do Modify

Answers

Based on the poll results and the margin of error, we can estimate that the true number of adults who prefer chocolate pie lies between 35 and 85 respondents, or 7% to 17% of the total respondents.

Let's break down the information provided and analyze the results of the poll.

The poll included 500 adult respondents. Among them, 12% chose chocolate pie as their favorite. With a margin of error of ±5 percentage points, we can determine the range within which the true proportion of adults who prefer chocolate pie lies.

Step 1: Calculate the number of respondents who chose chocolate pie.
12% of 500 = 0.12 x 500 = 60 respondents

Step 2: Determine the lower and upper bounds of the margin of error.
Lower Bound: 12% - 5% = 7%
Upper Bound: 12% + 5% = 17%

Step 3: Convert the percentages to actual numbers of respondents.
Lower Bound: 7% of 500 = 0.07 x 500 = 35 respondents
Upper Bound: 17% of 500 = 0.17 x 500 = 85 respondents

For more about margin of error:

https://brainly.com/question/29101642


#SPJ11

if a licensee gives tenants rent reductions whenever they refer new tenants, is this a violation of arizona law?

Answers

Yes. if a licensee gives tenants rent reductions whenever they refer new tenants, is this a violation of arizona law

How is this a violation of the law

It is possible that providing tenants rent reductions in exchange for referring new tenants could be a breach of Arizona law.

Under Arizona Revised Statutes § 33-1314, landlords are precluded from billing their tenants fees and deposits that have not been explicitly allowed under the rental agreement, or authorized by law. Thus, if the rental agreement does not expressly permit discounts on rent due to referrals, it is likely that such an act would contravene said statute.

Moreover, pursuant to Arizona Revised Statutes § 33-1313, retaliating against a tenant who upholds their legal and contractual rights is prohibited.

Read more on law here:https://brainly.com/question/820417

#SPJ1

CCL is a container shipping company that provides ocean transportation services between Hong Kong and Rotterdam. The round trip transit time for this route, including the stoppage time at multiple ports along the way, is 8 weeks. After completing a round trip, a vessel spends a negligible amount of time in Hong Kong before going for the next trip. The company offers fixed day weekly service, with one vessel departing Hong Kong every Wednesday. How many vessels does CCL need for the Hong Kong - Rotterdam route? (Choose the option that is closest to the correct answer.)
Group of answer choices
6 vessels
7 vessels
8 vessels
9 vessels
10 vessels
12 vessels

Answers

We need to calculate the total time taken by a vessel to complete one round trip and the frequency of service offered by the company. Then we can find out the number of vessels required for the Hong Kong - Rotterdam route. So, the correct answer is 6 vessels.

How many vessels does CCL need for the Hong Kong - Rotterdam route?

The round trip transit time for the Hong Kong - Rotterdam route is 8 weeks, and the company offers fixed day weekly service, with one vessel departing Hong Kong every Wednesday. Therefore, in 8 weeks, 8 voyages will take place, as there are 7 days in a week and one vessel departs every week. So, one vessel takes 8 weeks to complete one round trip.

Therefore, to have continuous weekly service, we need at least two vessels, as while one vessel is on the trip, the other vessel can depart on the next Wednesday. Therefore, CCL needs at least two vessels for the Hong Kong - Rotterdam route, but the closest option is 6 vessels. So, the correct answer is 6 vessels.

Learn more about CCL: https://brainly.com/question/30087466

#SPJ11

5. can be measured only if all special causes have been eliminated and the process is in a state of statistical control. a. measures of central location b. stable process c. customer supplier relations d. measuring process capability

Answers

Measuring process capability can be measured only if all special causes have been eliminated and the process is in a state of statistical control. The correct option is d.

Process capability is the ability of a process to consistently produce output that meets customer specifications. It is typically measured using statistical methods and requires the process to be in a state of statistical control, meaning that all special causes of variation have been eliminated and the process is stable.

Measures of central location, such as mean and median, can be calculated regardless of the process stability. Similarly, stable processes can be observed and monitored even if process capability is not being measured. Customer-supplier relations are an important aspect of quality management but are not directly related to measuring process capability.

Therefore, measuring process capability requires the process to be in a state of statistical control, and all special causes of variation must be eliminated to get accurate results. The correct option is d.

Learn more about Process capability at:

brainly.com/question/14239189

#SPJ4

On January 1, 2019, Caswell Company signs a 10-year cancelable (at the option of either party) agreement to lease a storage building from Wake Company. The following information pertains to this lease agreement: 1. The agreement requires rental payments of $100,000 at the beginning of each year. 2. The cost and fair value of the building on January 1, 2019, is $2 million. The storage building has not been specialized for Caswell. 3. The building has an estimated economic life of 50 years, with no residual value. Caswell depreciates similar buildings according to the straight-line method. 4. The lease does not contain a renewable option clause. At the termination of the lease, the building reverts to the lessor. 5. Caswell’s incremental borrowing rate is 14% per year. Wake set the annual rental to ensure a 16% rate of return (the loss in service value anticipated for the term of the lease). Caswell knows the implicit interest rate. 6. Executory costs of $7,000 annually, related to taxes on the property, are paid by Caswell directly to the taxing authority on Dec. 31 of each year. Required: 1. Determine what type of lease this is for the lessee. 2. Prepare appropriate journal entries on the lessee’s books to reflect the signing of the lease agreement and to record the payments and expenses related to this lease for the years 2019 and 2020

Answers

The journal entry to record the initial recognition of the lease on January 1, 2019, would be:

Debit Right-of-Use Asset $751,424

Credit Lease Liability $751,424

On January 1, 2019, the first rental payment would be due and would be recorded with the following journal entry:

Debit Lease Liability $89,476

Debit Executory Costs Expense $7,000

Credit Cash $96,476

This represents the present value of the lease payments over the ten-year lease term.

Moving on to the journal entries for the years 2019 and 2020, we know that Caswell is required to make annual rental payments of $100,000 at the beginning of each year.

The $89,476 represents the portion of the lease liability that relates to the first year's rental payment, while the $7,000 represents the annual executory costs related to taxes on the property. The $96,476 credit to cash represents the actual cash payment made by Caswell.

To know more about journal entry here

https://brainly.com/question/20421012

#SPJ4

Question 2 of 20
Noah describes the investment he made as a cross between a stock and a
bond. It offers a high rate of return but is more stable than typical stocks.
This kind of investment is called a
O A. dividend stock
B. government bond
C. preferred stock
D. prospectus

Answers

Noah describes the investment he made as a cross between a stock and a bond. It offers a high rate of return but is more stable than typical stocks. This kind of investment is called a preferred stock. The correct option is c.

Preferred stocks are sometimes called hybrid securities. Preferred stocks are equity securities that share many characteristics with debt instruments. Preferred stock is attractive as it offers higher fixed-income payments than bonds with a lower investment per share. Preferred stock often has a callable feature that allows the issuing corporation to forcibly cancel the outstanding shares for cash.

Corporations that receive dividends on preferred stock can deduct 50% to 65% of the income from their corporate taxes.

Learn more about stocks, here:

https://brainly.com/question/14258061

#SPJ1

dover company began operations in 2020 and determined its ending inventory at cost and at lcnrv at december 31, 2020, and december 31, 2021. this information is presented below. 00cost00 net realizable value 12/31/20 $346,000 $322,000000 12/31/21 410,000 390,000000 instructions a. prepare the journal entries required at december 31, 2020, and december 31, 2021, assuming inventory is recorded at lcnrv and a perpetual inventory system using the cost-of-goods-sold method. b. prepare journal entries required at december 31, 2020, and december 31, 2021, assuming inventory is recorded at lcnrv and a perpetual system using the loss method. c. which of the two methods above provides the higher net income in each year?

Answers

a) Journal entry for December 31, 2020 is inventory loss is $24,000, Cr. Inventory $24,000. No journal entry is required for December 31, 2021.

b)  Journal entry for December 31, 2020 is inventory loss is $24,000, Cr. Inventory $24,000.  Journal entry for December 31, 2021 is inventory loss is $20,000, Cr. Inventory $20,000.

c) The cost-of-goods-sold method provides a higher net income compared to the loss method.

a. At December 31, 2020:

Inventory Loss: $24,000 ($346,000 - $322,000)

Inventory write-down:

Dr. Cost of Goods Sold $24,000

Cr. Inventory $24,000

At December 31, 2021:

No journal entry is required as the net realizable value is higher than the cost of inventory.

b. At December 31, 2020:

Inventory Loss is  $24,000 ($346,000 - $322,000)

Inventory write-down is written as,

Dr. Loss Due to Market Decline $24,000

Cr. Inventory $24,000

At December 31, 2021:

Inventory Recovery is  $20,000 ($390,000 - $370,000)

Inventory write-up is recorded as,

Dr. Inventory $20,000

Cr. Loss Due to Market Decline $20,000

c. In each year, the cost-of-goods-sold method provides a higher net income compared to the loss method. This is because the cost-of-goods-sold method recognizes the loss immediately, reducing the inventory and increasing the cost of goods sold.

In contrast, the loss method spreads the loss over multiple periods, resulting in a lower cost of goods sold and a higher net income in the current period.

However, it should be noted that the loss method provides a more conservative approach to inventory valuation as it spreads the loss over multiple periods, rather than recognizing it immediately.

To learn more about inventory click on,

https://brainly.com/question/23266179

#SPJ4

What is value engineering?



engineering products that are not meant to be replaced but have a high cost




substituting low-cost components with high-quality components that still meet the product's lifetime duration and basic purpose




substituting high-quality components with low-cost components that still meet the product's lifetime duration and basic purpose

Answers

Value engineering is the process of substituting components, materials, and processes with less expensive alternatives that still meet the product's performance requirements and quality standards. This is typically done to reduce costs without sacrificing quality, reliability, or functionality. Therefore, the correct option is:

substituting high-quality components with low-cost components that still meet the product's lifetime duration and basic purpose.

To know more about value engineering , refer here :

https://brainly.com/question/29053888#

#SPJ11

When a firm experiences economies of scale:group of answer choicesits long-run average total costs increase as output increases.it can take advantage of specialization of resources.has increased monitoring cost and lower team spirit.it runs into bureaucratic red tapeits long-run average total costs remain the same as output increases.

Answers

When a firm experiences economy of scale, it can take advantage of specialization of resources (option B).

This means that the firm can produce more efficiently and at a lower cost per unit as it increases output. However, there may be increased monitoring costs and lower team spirit as the firm becomes larger and more bureaucratic. Despite these challenges, the long-run average total costs remain the same or decrease as output increases.

As the firm's output increases, it is able to utilize specialized resources more efficiently, leading to lower long-run average total costs. In summary, economies of scale allow a firm to benefit from resource specialization, resulting in reduced long-run average total costs as output increases.

Therefore, the correct answer is B. it can take advantage of specialization of resources.

Learn more about specialization here: https://brainly.com/question/2246305

#SPJ11

Born On The 4th Of Supply Industrial Goods paid a quarterly dividend of $3. 5 per share last quarter. Today, the company announced that future dividends will be increasing by 0. 6% quarterly. If you require a 8. 5% annual rate of return, how much, to the nearest cent, are you willing to pay to purchase one share of this stock today?

Answers

Based on the constant growth model, the value of one share of stock of Born On The 4th Of Supply Industrial Goods with a quarterly dividend of $3.5 and a 0.6% quarterly dividend increase, with an 8.5% annual rate of return requirement, would be $44.94.

To calculate the value of a share of stock using the dividend discount model, we can use the formula:

V = D / (r - g)

where:

V = the value of the stock

D = the expected future dividend

r = the required rate of return

g = the expected growth rate of the dividend

In this case, the current dividend is $3.5 per share, and the quarterly growth rate is 0.6%. We can convert this to an annual growth rate by multiplying by 4:

g = 4 * 0.6% = 2.4%

The required rate of return is 8.5%. We can convert this to a quarterly rate by dividing by 4:

r = 8.5% / 4 = 2.125%

Now we can use the formula to calculate the value of the stock:

V = $3.5 / (2.125% - 2.4%) = $3.5 / (-0.275%) = -$1,272.73

This negative value doesn't make sense, so we need to check our calculations. The problem is that the growth rate is higher than the required rate of return, which means the formula doesn't work in this case. When the growth rate is higher than the required rate of return, we need to use the constant growth model instead:

V = D1 / (r - g)

where:

D1 = the next expected dividend

g = the expected growth rate of the dividend

r = the required rate of return - the growth rate

To use this model, we need to calculate the next expected dividend. To do this, we can multiply the current dividend by (1 + g) to get the next quarter's dividend:

D1 = $3.5 * (1 + 0.6%) = $3.522

Now we can use the constant growth model to calculate the value of the stock:

V = $3.522 / (8.5% - 0.6%) = $44.94

Therefore, you would be willing to pay $44.94 to purchase one share of this stock today.

learn more about constant growth model here:

https://brainly.com/question/15567560

#SPJ11

on january 1, year 1, hardy company had a balance of $118,500 in its common stock account. during year 1, hardy paid $21,800 to purchase treasury stock. treasury stock is accounted for using the cost method. the balance in the common stock account on december 31, year 1, was $133,500. assume that the common stock is no par stock. required a. determine the cash inflow from the issue of common stock.

Answers

If during year 1, hardy paid $21,800 to purchase treasury stock. treasury stock is accounted for using the cost method, the cash inflow from the issue of common stock is $118,500.

The cash inflow from the issue of common stock is the amount of money received by the company when it initially issued the common stock. In this case, we are given the beginning balance of the common stock account on January 1, Year 1, which is $118,500. This amount represents the total cash inflow from the issuance of common stock up to that point.

It is important to note that the purchase of treasury stock does not affect the cash inflow from the issue of common stock, as treasury stock represents shares that were previously issued and repurchased by the company. The cost of treasury stock is recorded as a reduction of equity, not as a cash outflow.

To learn more about stock click on,

https://brainly.com/question/29807153

#SPJ4

blunt county needs $700,000 from property tax to meet its budget. the total value of assessed property in blunt is $110,000,000. what is the tax rate of blunt? (round to the nearest ten thousandth. express the rate in mills.)

Answers

If the total value of assessed property in blunt is $110,000,000, the tax rate for Blunt county is 0.00636 mills.

To calculate the tax rate of Blunt county, we need to divide the amount needed from property tax ($700,000) by the total assessed value of property in Blunt county ($110,000,000). We can then convert this result into mills, which is a common way of expressing tax rates.

Tax rate = ($700,000 / $110,000,000) * 1,000

Tax rate = 0.00636 mills

This means that property owners in Blunt county will be required to pay $0.00636 for every dollar of assessed value of their property. For example, a property with an assessed value of $100,000 would be taxed at a rate of $636 per year.

To learn more about tax click on,

https://brainly.com/question/14079793

#SPJ4

Seth deposits X in an account today in order to fund his retirement. He would like to receive payments of 50 per year, in real terms, at the end of each year for a total of 12 years, with the first payment occurring seven years from now. The inflation rate will be 0. 0% for the next six years and 1. 2% per annum thereafter. The annual effective rate of return is 6. 3%. Calculate X

Answers

Seth needs to deposit $455.99 today to fund his retirement when The annual effective rate of return is 6.3%.

This problem involves calculating the present value of an annuity with a delayed first payment and real payments.

The first step is to calculate the real interest rate by adjusting the nominal rate for inflation using the Fisher equation. The real interest rate for the first six years is 6.3% - 0.0% = 6.3%, and for the subsequent six years, it is 6.3% - 1.2% = 5.1%. The present value of the real annuity is

PV = 50/(1+0.063)⁷ + 50/(1+0.051)⁸ + ... + 50/(1+0.051)¹²

Simplifying this expression yields

PV = 50 * [1/(1+0.063)⁷ + 1/(1+0.051)⁸ + ... + 1/(1+0.051)¹²]

Using a financial calculator or spreadsheet software, the present value of this annuity is approximately $455.99. Therefore, Seth should deposit $455.99 today to fund his retirement.

To know more about retirement fund:

https://brainly.com/question/14673773

#SPJ4

many states are now imposing severance taxes on resources being extracted in their states. in order to understand the effect of these on the allocation of the mineral over time, assume a stable demand curve. how would the competitive allocation of an increasing marginal-cost depletable resource be affected by the imposition of a per-unit tax (for example, $4 a ton) if there exists a constant-marginal-cost substitute? comparing the allocation without a tax to one with a tax, in general terms what are the differences in cumulative amounts extracted and the price paths?

Answers

The imposition of a per-unit tax on an increasing marginal-cost depletable resource lead to a reduction in the cumulative amount of the resource extracted over time, a higher market price for the resource.

The cumulative amount of the substitute extracted would increase as the tax would encourage its substitution.

The imposition of a per-unit tax on an increasing marginal-cost depletable resource would affect the competitive allocation of the resource over time.

In general, a tax would increase the marginal cost of production for the resource, leading to a decrease in the supply of the resource. This reduction in supply would result in a higher market price for the resource and a lower cumulative amount of the resource extracted over time.

If there exists a constant-marginal-cost substitute for the depletable resource, the tax would encourage the substitution of the substitute for the depletable resource. As a result, the demand for the substitute would increase, leading to an increase in its price.

This increase in the price of the substitute would offset the increase in the price of the depletable resource, resulting in a smaller net change in the market price.

In terms of the cumulative amount of the resource extracted, the tax would reduce the cumulative amount of the depletable resource extracted over time, as the higher marginal cost of production would discourage extraction.

To learn more about demand curve click on,

https://brainly.com/question/15177112

#SPJ4

What bankruptcy provision has the bank chosen?



Daniel’s company suffers from losses and eventually files for bankruptcy. Since Daniel’s company deals in artifacts, the bank decides to opt for the


(BLANK) provision for bankruptcy. Through this provision, the company decides to auction the goods and recover a portion of the debt

Answers

The bank has chosen the liquidation provision for bankruptcy.

What bankruptcy provision did the bank choose for the company?

The bank opted for liquidation provision for Daniel's artifact company which involves the sale of all assets to pay off creditors. In this case, the company will auction off its artifacts to recover some of the debt owed to the bank.

The provision is often used when a company is unable to restructure its operations and is no longer viable. While the provision may result in a lower recovery for creditors compared to other provisions, it allows for a quick resolution of the bankruptcy proceedings.

Read more about bankruptcy

brainly.com/question/26392690

#SPJ1

Which term describes values applied through achievement of the three paradigms? O Diversity audits O Skills-based training O Diversity principles O Awareness training

Answers

The correct answer is option C)  Diversity principles.

The term that describes values applied through the achievement of the three paradigms is Diversity principles.

What are Diversity principles?

Diversity principles are the values that apply to the three paradigms of an organization, including affirmative action, diversity awareness training, and diversity audits. It is a core aspect of diversity management that emphasizes equal opportunities and benefits to all employees, regardless of their differences.

Diversity principles are a fundamental part of diversity management and assist in creating an environment of acceptance and inclusivity. By providing equal opportunities to all staff members, an organization can increase engagement, employee satisfaction, and productivity.

The following are some essential diversity principles:

Equal treatment and opportunities for all employees regardless of their gender, race, religion, age, disability, and other individual differences.Inclusivity and the promotion of a safe and supportive working environment for all employees.Recognition and respect for the different values, traditions, and beliefs held by employees.Multiculturalism and acceptance of differences a significant sources of strength, innovation, and creativity in the workplace.

As an organization adopts these principles, it improves diversity management and promotes equity, justice, and social responsibility in the workplace.

To learn more about organization management refer: https://brainly.com/question/15696801

#SPJ11

Suppose that the city council of Hoboken is considering a restrictive ordinance that will reduce the number of liquor licenses in the city. If the ordinance is passed, the maximum number of beverages that can be served any night will be capped at 4,500. What will be the resulting market price and quantity

Answers

The resulting market price and quantity will depend on the demand and supply of liquor licenses in Hoboken.

The market price and output will be determined by Hoboken's supply and demand for liquor licences. The market price of liquor licences will increase and the availability will drop if there is a greater demand than supply. In contrast, the market price will decrease and the quantity will rise if there is a bigger supply of licenses than there is a demand for them.

The market price and quantity of liquor licenses also depend on other factors, such as the laws and regulations governing the sale and distribution of alcohol in Hoboken, the size of the local market for alcoholic beverages, and the availability of other types of alcohol licenses (e.g., beer and wine) in the area.

To learn more about demand and supply link is here

brainly.com/question/13353440

#SPJ4

Decision to Discontinue a Product:


On the basis of the following data, the general manager of Featherweight Shoes Inc. Decided to discontinue Children's Shoes because it reduced income from operations by $17,000.


Featherweight Shoes Inc.


Product-Line Income Statement


For the Year Ended April 30, 20Y8


Children's Shoes Men's Shoes Women's Shoes Total


Sales $235,000 $300,000 $500,000 $1,035,000


---------------------- ----------------- -------------------- ---------------


Cost of Goods Sold:


Variable Costs $130,000 $150,000 $220,000 $500,000


Fixed Costs $41,000 $60,000 $120,000 $221,000


---------------------- ----------------- -------------------- ---------------


Total Cost of Goods Sold $171,000 $210,000 $340,000 $721,000


---------------------- ----------------- -------------------- ---------------


Gross Profit $64,000 $90,000 $160,000 $314,000


---------------------- ----------------- -------------------- ---------------


Selling and Administrative Expenses:


Variable Selling and Admin. Expenses $46,000 $45,000 $95,000 $186,000


Fixed Selling and Admin, Expenses $35,000 $20,000 $25,000 $80,000


---------------------- ----------------- -------------------- ---------------


Total Selling and Admin. Expenses $81,000 $65,000 $120,000 $266,000


---------------------- ----------------- -------------------- ---------------


Income (Loss) from Operations $(17,000) $25,000 $40,000 $48,000


============= ========== ============ =========


Required:


1. Prepare a differential analysis to determine the flaw in the general manager's decision.


If an amount is zero, enter "0". Use minus sign to indicate a loss.


Differential Analysis


Continue (Alternative 1) or (Discontinue (Alternative 2) Children's Shoes


Continue Children's Shoes Discontinue Children's Shoes Differential Effect on Income


(Alternative 1) (Alternative 2) (Alternative 2)


Revenues $ $ $


Costs:


Variable Cost of Goods Sold


Variable Selling and Admin. Expenses


Fixed Costs


--------------------------------- ------------------------------------ ----------------------------------


Income (Loss) $ $ $


==================== ====================== =====================


2. What is the flaw in the decision to discontinue Children's Shoes, if it is assumed fixed costs would not be materially affected by the discontinuance?

Answers

a) If the fixed costs would not be materially affected by the discontinuance, then we can deduct the $41,000 from the differential effect on income to arrive at a net differential effect on income of -$64,000.

b) The flaw in the general manager's decision is that the reduction in income from discontinuing Children's Shoes is $64,000 outweighs the savings in variable costs is $130,000.

Looking at the Product-Line Income Statement, we see that Children's Shoes generated $235,000 in sales, and their variable costs (costs that vary with production and sales volume) amounted to $130,000. If Children's Shoes are discontinued, we would lose the $235,000 in revenue, but we would also save $130,000 in variable costs. This results in a differential effect on income of

=> -$105,000 ($235,000 - $130,000).

However, we must also consider the fixed costs of $41,000 associated with Children's Shoes. If the fixed costs would not be materially affected by the discontinuance, then we can deduct the $41,000 from the differential effect on income to arrive at a net differential effect on income of

=> -$64,000 (-$105,000 - $41,000).

This means that discontinuing Children's Shoes would reduce income from operations by $64,000.

To know more about differential analysis here

https://brainly.com/question/31491539

#SPJ4

good company prefers variable to fixed rate debt. bad company prefers fixed to variable rate debt. assume that good and bad companies could issue bonds as follows: given this information: a. an interest rate swap will probably not be advantageous to good company because it can issue both fixed and variable debt at more attractive rates than bad company b. an interest rate swap attractive to both parties could result if good company agreed to provide bad company with variable rate payments at libor 1 percent in exchange for fixed rate payments of 10.5 percent. c. an interest rate swap attractive to both parties could result if bad company agreed to provide good company with variable rate payments at libor 1 percent in exchange for fixed rate payments of 10.5 percents. d. none of the above.

Answers

Option (B). An interest rate swap attractive to both parties could result if good company agreed to provide bad company with variable rate payments at LIBOR 1 percent in exchange for fixed rate payments of 10.5 percent.

         An interest rate swap is a contract in which two parties agree to exchange one stream of future interest payments for another, based on a specified principal amount.

This is because good company can issue fixed-rate debt at 9 percent and variable-rate debt at LIBOR - 0.5 percent, while bad company can issue fixed-rate debt at 11 percent and variable-rate debt at LIBOR + 1 percent. Therefore, good company has a comparative advantage in issuing fixed-rate debt and bad company has a comparative advantage in issuing variable-rate debt.

             By entering into an interest rate swap, good company can effectively borrow at a floating rate of LIBOR - 0.5 percent + 1 percent = LIBOR + 0.5 percent, which is lower than its original floating rate of LIBOR + 1 percent. Similarly, bad company can effectively borrow at a fixed rate of 11 percent - 0.5 percent = 10.5 percent, which is lower than its original fixed rate of 11 percent.

            The net benefit of the swap is 0.5 percent of the principal amount, which can be shared between the two parties according to their negotiation.

The other options are not suitable because:

- A:  Because it can lower its borrowing cost by swapping its fixed-rate payments for variable-rate payments from bad company.

- C: Because this would imply that bad company is paying more than its original borrowing cost and good company is receiving less than its original borrowing cost.

- D: Because option B is correct.

To learn more about principal amount here

https://brainly.com/question/30163719

#SPJ1

Other Questions
Need this really fast !consider the function whose criterion is f(x) = = ax + b si x 3 The required values for a and t for the function to be continuous at X=3 Will give brainliest. I need help with this project please!For this activity, you will design and describe a new outer planet. You must answer a series of questions and describe your planet in detail. Once all questions have been answered, you will create a scientific journal entry from the point of view of another astronomer discovering your planet. This journal entry must include all of the answers to the questions, but should be written as if these details are being discovered for the first time.1. How many AU is your planet from the Sun?2. Does your planet have a solid surface or is it a gas giant? If it has a solid surface, give the details.3. Describe the atmosphere.4. Describe the color(s).5. Does your planet have rings? If so, are they massive like Saturns or almost unnoticeable like Jupiters?6. Does your planet have any moon? If so, how many?7. How many degrees does your planet tilt?8. What is the diameter of your planet (in miles)?9. How long is one full rotation of your planet? (in minutes, hours, Earth days, or Earth years)?10. How long does it take for your planet to complete an orbit around the Sun (in Earth years)?Step 2: Write a Scientific Journal EntryNow its time to discover your planet! Use your answers to the questions in Step 1 to help you describe the planet in detail. They do not have to be described in the same order as the questions were listed; they can be mixed up to reflect how an astronomer might slowly learn about a planets components and aspects. As this journal entry is written from the point of view of the discoverer of the planet, you must include the name of the planet and explain why you chose that name. Your journal entry must be at least two paragraphs long.Your answers to the 10 questions (step 1)Your journal entry describing your discovery (step 2)You must include the name of your planet and explain why you chose that nameYour journal entry must be at least two paragraphs long Algunas de estas ciudades mesoamericanas, emprendieron guerras de conquista o de sojuzgamiento que les permitieron obtener tributos y mano de obra. Fue el caso de los mexicas. Su crecimiento demandaba una mayor cantidad de bienes que no podan producir por s mismas y, como resultado de esto, era fundamental que emprendieran guerras, las cuales obligaban a mantener la beligerancia hasta crear un perodo de conflicto. Este fenmeno ocurri en el perodo u horizonte que conocemos como: To understand why actual net operating income differs from what it should have been at the actual level of activity, the ______ variances should be analyzed. What was the outcome/impact/appeal of Marvel Comics and the hulk? Imagine you wanted to launch a satellite so that it traveled in the opposite direction from usual that is east to west rather than the west to east.how fast would the rocket launching that satellite have to travel relative to the launching site , if you launched it from a point on the equator A 10-foot ladder is leaning against a wall. If we pull the ladder away from the wall at a rate of 8 ft/s how fast is the top of the ladder moving down the wall when the bottom of the ladder is 8ft from the wall? (Enter an exact answer.) Provide your answer below: The ladder is moving down the wall at a rate of__ feet per second Media analysis can be best described as:A. Avoiding emotional responses to media texts. B. Connecting the different parts of a media text with the producer'sgoals. C. Forming an opinion about the valuesmarried by a particular mediamessage. D. Understanding how to rate production values from low to high. SUBMIT 8. THE FIRST AMENDMENT TELLS THE GOVERNMENT TO KEEP ____ ___ RELIGION A department manager recently launched a new initiative so the members of her department can more easily present innovative ideas they have. To get feedback on the initiative, she emails a link to all department members for an anonymous online survey.Which statement is true? What is the molarity of a solution if 1. 75 moles of KOH are dissolved in 2. 5 liters of water 39 0. 70 b. 1 d 4. 4M pls solve this asap Jorge is a customer service associate in an upscale supermarket. The monetary payment he receives in exchange for performing his job is referred to as _______. Multiple choice question This modern ethno-linguistic boundary of two peoples that go all the way back to the times of abraham and the torah/tanakh?old testament. not only does this frozen conflict involve the immediate area, but the whole world due to the geopolitical, religious and irredentist emotions involved of three monotheistic religions. what ethnicities are involved, what languages and where is this consequent and occasionally fortified boundary exist? a. north and south korea;korean; dmz (38th parallel)b. west bank wall; jews and palestinians; holy landc. green line wall; greeks and turks; cyprusd. line (fence) of control; pakistanis and indians; pakistan and indiae. sand berm wall; sahwaris and moroccans; western sahara How did the shootings at kent and jackson state universities impact popular opinion on the vietnam war?. Read the poem.excerpt from Annabel Leeby Edgar Allan PoeIt was many and many a year ago, In a kingdom by the sea,That a maiden there lived whom you may know By the name of Annabel Lee; And this maiden she lived with no other thought Than to love and be loved by me.I was a child and she was a child, In this kingdom by the sea,But we loved with a love that was more than love I and my Annabel LeeWith a love that the wingd seraphs of Heaven Coveted her and me.And this was the reason that, long ago, In this kingdom by the sea,A wind blew out of a cloud, chilling My beautiful Annabel Lee;So that her high-born kinsman came And bore her away from me,To shut her up in a sepulchre In this kingdom by the sea.The angels, not half so happy in Heaven, Went envying her and meYes!that was the reason (as all men know, In this kingdom by the sea)That the wind came out of the cloud by night, Chilling and killing my Annabel Lee.But our love it was stronger by far than the love Of those who were older than we Of many far wiser than weAnd neither the angels in Heaven above, Nor the demons down under the sea,Can ever dissever my soul from the soul Of the beautiful Annabel Lee:For the moon never beams, without bringing me dreams Of the beautiful Annabel Lee,And the stars never rise, but I feel the bright eyes Of the beautiful Annabel Lee;And so, all the night-tide, I lie down by the sideOf my darlingmy darlingmy life and my bride, In the sepulchre there by the sea In her tomb by the sounding sea.QuestionHow does Poe refine the idea in the poem "Annabel Lee" that others may be jealous of true love?ResponsesThe speaker describes how, even now, he lies down by his beloved in her "sepulchre there by the sea."The speaker describes how, even now, he lies down by his beloved in her "sepulchre there by the sea."The speaker describes how Annabel Lee's only thought was "to love and be loved by" him.The speaker describes how Annabel Lee's only thought was "to love and be loved by" him.The speaker describes how heavenly beings "coveted" and "went envying" the love he and Annabel Lee shared.The speaker describes how heavenly beings "coveted" and "went envying" the love he and Annabel Lee shared.,The speaker describes how Annabel Lee's "high-born kinsman came / And bore her away" after her death.The speaker describes how Annabel Lee's "high-born kinsman came / And bore her away" after her death. Match the following terms and definitions.1. an animal without a body cavity ectoderm 2. development of an apparent head end of an animal deuterostomes 3. flagellated cell lining the inside of a sponge acoelomate 4. an animal with a fluid-filled body cavity that lies within the mesoderm coelomate 5. organisms that form by radial cleavage and develop an anus from the first indentation of the gastrula stage of embryonic development; includes echinoderms, chordates, and vertebrates choanocyte 6. "outer skin"; layer of cells that develop on the outside of the embryo cephalization In the context above statement, evaluate the impact of pseudoscientific ldeas of race on the Jewish nation by the Nazi Germany during the period 1933 to 1946 (Background) Choose which option shows the plan, whichoption shows the front elevation and whichoption shows the side elevation of this 3Dshape.sidefrontADGBEHCF Harry, harriet, and horance operate the triple h used car lot as a general partnership. pursuant to their agreement, each drives a triple h vehicle to and from work, makes various business trips about the city either from home or the lot, and keeps a "for sale" sign displayed in the vehicles windshield. each car is for sale at all times of the day and night and at any location. one afternoon, harriet was driving on a business trip when her car collided with one driven by paine, who was seriously injured. harriets conduct was found to be criminally negligent. in a tort action by paine against harry, harriet, and horance, both as individuals and as the triple h partnership, who is liable?