Foster Florist specializes in large floral bouquets for hotels and other commercial spaces. The company has provided the following data concerning its annual overhead costs and its activity based costing system: Overhead costs: Wages and salaries $ 162,000 Other expenses 61,000 Total $ 223,000 Distribution of resource consumption: Activity Cost Pools Making Bouquets Delivery Other Total Wages and salaries 45% 25% 30% 100% Other expenses 30% 45% 25% 100% The "Other" activity cost pool consists of the costs of idle capacity and organization-sustaining costs. The amount of activity for the year is as follows: Activity Cost Pool Activity Making bouquets 140,308 bouquets Delivery 12,700 deliveries What would be the total overhead cost per delivery according to the activity based costing system? In other words, what would be the overall activity rate for the deliveries activity cost pool? (Round to the nearest whole cent.)

Answers

Answer 1

Answer:

$5.35 per delivery

Explanation:

Overhead costs:

Wages and salaries $162,000

Other expenses $61,000

Total $223,000

Activity Cost Pools     Wages and salaries       Other expenses

Making Bouquets            45%                                30%

Delivery                            25%                                45%

Other                                30%                                25%

Total                                100%                              100%

Activity Cost Pool Activity

Making bouquets 140,308 bouquets

Delivery 12,700 deliveries

total overhead costs assigned to delivery:

Wages and salaries $162,000 x 25% = $40,500

Other expenses $61,000 x 45% = $27,450

total = $67,950

cost per delivery = $67,950 / 12,700 deliveries = $5.35 per delivery

Answer 2

The overall activity rate for the deliveries activity cost pool $5.35 per delivery .

Overhead costs:

Wages and salaries $162,000

Other expenses $61,000

Total= $223,000

Activity Cost Pools     Wages and salaries       Other expenses Making Bouquets            45%                                30% Delivery                            25%                                45% Other                                30%                                25%

         Total                                100%                              100%

Activity Cost Pool Activity:

Making bouquets 140,308 bouquets Delivery 12,700 deliveries

Total overhead costs assigned to delivery:

Wages and salaries $162,000 x 25% = $40,500 Other expenses $61,000 x 45% = $27,450 Total = $67,950

Cost per delivery = $67,950 / 12,700 deliveries

Cost per delivery= $5.35 per delivery

The overall activity rate for the deliveries activity cost pool $5.35 per delivery .

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Related Questions

Leverage Corporation sells two products: Regular and Supreme. Leverage sells three Regulars for every two Supremes. The Regular sells for $20 each with variable costs of $11 each, whereas the Supreme sells for $25 each with variable costs of $15 each. If fixed costs are $21,000, what is the breakeven point in unit

Answers

Answer:Break even points of the two propduct =2,234.04 units  With each product having 1,340 .4 units   for regular and  supreme with 893.6units

Explanation:

Product--- Regular

Contribution Margin per unit = Selling price - variable price

=$20-$11=$9

Product--- Supreme

Contribution Margin per unit = Selling price - variable price

=$25-$15=$10

Product mix are in the ratio 3: 2  therefore

Supreme contains 3/3+2 x 100 = 60 %

Regular = 2/3+2 x 100 = 40%

Weighted Average Contribution Margin  for each product becomes

 Regular  =$9 x 60%= 5.4

Supreme =$ 10x 40%-=4.0

Total=                           9.4

Break even points of the two propduct =Total Fixed Cost /Weighted Average Contribution Margin

$21,000.00 /9.40 = 2,234.04 units

`With each units having

      Regular                         Supreme

         3                   :                  2

      60%                                   40%

2,234.04 x 60%                  2,234.04 x 40%

     1,340.4  units                                   893.6units

Last year your company compiled employee satisfaction results using employee retention data. This year, they will use the scores from employee surveys. Which problem will you face when analyzing the data

Answers

Answer:

The are hard or not possible to compare since you are not looking at the same data.

You will face recency issues or recency bias when analysing the data.

The recency bias happens when we remember the last ideas, arguments or items more clearly than other things that were said first or happened first.

Employee retention simply has to do with a firms ability to retain its workers. Employee retention is important because of the following reasons:

It creates opportunities for workers to growIt gives job fulfillmentIt gives room for more experienced workersImproves culture of the firmCuts costs and it raises benefits.

When analyzing the data, You would be better able to retain data from more recent surveys compared to older ones.

Read more about employee retention here https://brainly.com/question/17113078?referrer=searchResults

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Braxton's Cleaning Company stock is selling for $35.50 per share based on a required return of 11.2 percent. What is the the next annual dividend if the growth rate in dividends is expected to be 3.6 percent indefinitely?

Answers

Answer:

The next annual dividend is $2.70

Explanation:

The computation of the next annual dividend is shown below:

= Selling price of a stock × ( Expected rate of return - growth rate)

= $35.50 per share × (11.2% - 3.6%)

= $35.50 per share × 7.6%

= $2.70

Hence, the next annual dividend is $2.70

We simply applied the above formula

And, the same is to be considered

Otis Corp. uses a periodic system and the FIFO method. Otis had beginning inventory of 30 units purchased at $120 each and made the following purchases during the year: Jan. 15: 34 units at $110 May 30: 61 units at $84 Oct. 20: 160 units at $60 Sales during the year totaled 271 units. What is the cost of ending inventory

Answers

Answer:

the cost of ending inventory is $840

Explanation:

The computation of the cost of ending inventory is shown below:

Total units available for sale is

= (30 units + 34 units + 61 units + 160 units)

= 285 units

And,  

Sales units = 271 units

So,

Ending inventory units is

= 285 units - 271 units

= 14 units

Finally  

Ending inventory cost is

= 14 units × $60

= $840

hence, the cost of ending inventory is $840

rue or False: Wages in the auto manufacturing industry would be less than those in the aircraft manufacturing industry. True False

Answers

Answer:

False

Explanation:

The wages who are offering in auto industry would be more than the aircraft industry as the wages between these two industries i.e. auto and aircraft would be equivalent to each other. But in that case if they are not equal so the workers who are getting high wages would select those industries

Hence, the given statement is false and the same is to be considered

World Spice Salsa, a manufacturer of salsa, sells its product throughout the United States and all over the world. The company has developed region-specific salsas like Five Spice Salsa for its customers in China, saffron and cumin salsa for customers in India, and even red beans and rice salsa for its customers in New Orleans. World Spice Salsa has employed ________ segmentation in this case.

a. behavioral
b. psychographic
c. lifestyle
d. demographic
e. geographic

Answers

Answer:

World Spice Salsa has employed ________ segmentation in this case.

e. geographic

Explanation:

Geographic segmentation is the grouping of potential customers by country, state, region, city, or even neighborhood.  It is one of the four main types of market segmentation employed by marketers.  Market segmentation is the process of separating a market into sub-groups, in which its members share common characteristics, such as geographic, demographic, psychographic, and behavioral.

Markley Manufacturing calculated its predetermined overhead rate to be 120% of direct labor cost. During June, the company incurred $90,000 of factory labor costs, of which $85,000 is direct labor and $5,000 is indirect labor. Actual overhead incurred was $84,000. How much will Markley debit Work in Process Inventory in June

Answers

Answer:

$102,000

Explanation:

Calculation for How much will Markley debit Work in Process in June

Using this formula

Debit Work in Process =Direct labor* Direct labor predetermined overhead rate percentage

Let plug in the formula

Debit Work in Process=$85,000 *120%

Debit Work in Process=$102,000

Therefore Markley debit Work in Process in June will be $102,000

As a top manager, Joanna works with others on her team every day in making important corporate decisions. Her preferred decision-making approach is to generate as many alternatives to problems as possible in a short amount of time. This approach is referred to as _____.

Answers

Answer:

Brainstorming.

Explanation:

Brainstorming is a creativity and problem-solving technique adopted by individuals or group of people by spontaneously gathering ideas through intensive thinking.

As a top manager, Joanna works with others on her team every day in making important corporate decisions. Her preferred decision-making approach is to generate as many alternatives to problems as possible in a short amount of time. This approach is referred to as brainstorming.

A learning organization is one which is typically characterized by creating an enabling environment for growth, training, and development of its employees. This opportunity and incentives help employees to engage in critical and creative thinking, research, and development. Consequently, employees would become more confident, brilliant, intelligent, knowledgeable and professionals in their assigned positions or roles, thus helping the organization to achieve its aim, goals and objectives.

In a nutshell, this ultimately implies that it's very important and necessary that organizations sponsor brainstorming sessions and reward employees awesomely, when an out-of-the box idea leads to organizational improvements.

Based on the provides information, for Joanna to generate as many alternatives to problems as possible in a short amount of time, she needs a brainstorming approach .

Brainstorming can be regarded as a technique used  which serves as group discussion to produce ideas or solve problems.

Therefore,  Joanna to generate as many alternatives to problems as possible in a short amount of time.

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Consider the following two bonds. Bond A returns $1000 (coupon) per year for the first 9 years and $5000 (face value) in the 10th year, and Bond B returns $900 (coupon) per year for the first 19 years and $10000 in the 20th year. Compare the present values of the bonds when the interest rate r is 0.1 and 0.2.

Answers

Answer:

Present value of bond A:

interest rate = 10%

PV of face value = $5,000/1.1¹⁰ = $1,927.72

PV of coupon payments = $1,000 x 5.7590 (PV annuity factor, 10%, 9 periods) = $5,759

present value = $7,686.72

interest rate = 20%

PV of face value = $5,000/1.2¹⁰ = $807.53

PV of coupon payments = $1,000 x 4.0310 (PV annuity factor, 20%, 9 periods) = $4,031

present value = $4,838.53

Present value of bond B:

interest rate = 10%

PV of face value = $10,000/1.2¹⁰ = $1,615.06

PV of coupon payments = $900 x 8.3649 (PV annuity factor, 10%, 19 periods) = $7,528.41

present value = $9,143.47

interest rate = 20%

PV of face value = $10,000/1.2²⁰ = $260.84

PV of coupon payments = $900 x 4.8435 (PV annuity factor, 20%, 19 periods) = $4,359.15

present value = $4,619.99

what factors do you think led to the rise of this additional source of income for composers and musicians

Answers

Answer: See explanation

Explanation:

The factors that led to the rise of this additional source of income for composers and musicians were due to the fact that music began to be widely accepted and the publicity also helped.

In the classical era, it should be noted that the kings supported musicians as music was played at palace and were also part of rituals. Musicians were called to different ceremonies and were rewarded handsomely for their music.

It was then widely accepted among the people in the society. The number of musicians increased as well and they became popular, made more money and also became popular.

.

n the purchase of a new computer monitor, which of the following is an example of a user? Multiple Choice a supply manager who helps write specifications a secretary whose computer monitor is being replaced an IT manager who supplies information for evaluating alternatives a purchasing manager who arranges the terms of the sale a receptionist who controls the flow of information

Answers

Answer:

A secretary whose computer monitor is been replaced.

Explanation:

As it been discussed in the scenario above, a secretary is mostly the frequent user to a monitor as the case may be as it allows in focusing of the eye in an exceedingly proper and cozy manner, not having to place up with a rather fuzzy image while typing or a movie/game that appears as if the most character features a shadowy ghost following them. an honest monitor should allow you to work out what you're doing without having to strain your eyes or tilt your head to urge to the simplest viewing angle.

Partners Acer and Barr have capital balances in a partnership of $40,000 and $60,000, respectively. They agree to share profits and losses as follows: Acer Barr As salaries $10,000 $12,000 As interest on capital at the beginning of the year 10% 10% Remaining profits or losses 50% 50% If income for the year was $50,000, what will be the distribution of income to Barr

Answers

Answer:

$27,000

Explanation:

Acer's allocation of partnership's profits:

salary = $10,000

interest on capital = $40,000 x 10% = $4,000

remaining income = $18,000 x 50% = $9,000

total distribution = $23,000

Barr's allocation of partnership's profits:

salary = $12,000

interest on capital = $60,000 x 10% = $6,000

remaining income = $18,000 x 50% = $9,000

total distribution = $27,000

Sally’s Hair Salon purchases hair dye and records the dye as an asset. As they are used, they are expensed. This is an example of:

Answers

Answer:

Matching

Explanation:

The scenario mentioned in the question is based on the accounting principle of Matching which requires that the asset (which is recorded at the time of its purchases) to be distributed and matched over the time of its useful life in order to balance the cost over a period (in the form of expenses). This recording of the asset as an expenses when it is used is known as depreciation.

You bought a STRIP at 96 dollars with maturity of 3 years. Calculate the yield to maturity of this STRIP _______% (keep two decimal points)

Answers

Answer: 0.0136

Explanation:

The following information can be gotten from the question:

Current price = $96

Par Value = $100

Time to Maturity = 3 years

Semiannual Period = 3 × 2 = 6

The yield to maturity of this STRIP will be calculated as:

Let the semiannually yield to maturity be represented by y.

96 = 100/(1 + y)^6

Cross multiply

96(1+y)^6 = 100

Divide both side by 96

(1+y)^6 = 100/96

(1+y)^6 = 1.0417

1 + y^6 = 1.0417

y^6 = 1.0417 - 1

y^6 = 0.0417

y = 0.0068

Therefore, the semiannual YTM = 0.0068

Annual YTM will now be:

= 2 × Semiannual YTM

= 2 × 0.068

Annual YTM = 0.0136

If all other factors are equal, an investor would expect which type of preferred stock to pay the highest stated dividend rate

Answers

Answer: a. Callable

Explanation:

A Callable stock will most likely have the highest stated dividend from the options listed. This is because a Callable stock by definition, can be bought/ called back by the company in the future at a fixed price if they want to.

This means that the owner of the share is at a disadvantage as the stock cannot increase past the value the company can call it back for and they could lose the stock to the company at anytime. The company will therefore offer a higher dividend for this inconvenience.

What is the change in the cost of sales for the year if the company had used FIFO to value its inventories. (Enter your answer in millions.)

Answers

Answer:

If the company used FIFO instead of LIFO then the Cost of Sales would lower and value of inventory would higher.

Explanation:

FIFO method is used widely by many organizations. This method involves selling the goods that are bought first. The good bought earlier would be at low price than the goods bought later on due to increase in price. The cost of sales therefore would be lower in FIFO than in LIFO. The value of inventory would be higher in FIFO as the good bought at a higher price are not sold first.

For the Dividend Growth Model, the equation can be written as follows: P0 = =D1/(RE – g). How can this equation be rearranged?

Answers

Answer:

Re = (D1 ÷ P0) + g

Explanation:

The rearrangement of the equation is as follows:

Given equation is:

P0 = D1 ÷ (Re - g)

where,

P0 = Price of the stock

D1 = Dividend at year 1

Re = Required rate of return

g = Growth rate

It can be rearrange as

Re - g = (D1 ÷ P0)

Or

Re = (D1 ÷ P0) + g

The Re = (D1 ÷ P0) + g is the correct answer and the same is to be considered

Sanfran Company purchased inventory for . In addition they had purchase returns of and paid freightin of . Sanfran​ Company's net cost of purchases would​ be:

Answers

Answer:

The net cost of purchase is $123,000

Explanation:

The computation of the net cost of purchase is shown below:

Purchase cost of inventory           $120,000

Less: Purchase return                   -$9,000

Add: Freight in cost                        $12,000

Net cost of purchases                    $123,000

hence, the net cost of purchase is $123,000

We simply applied the above equation so that the correct value could come

and the same is to be considered

At the last minute, Jenna considers investing in Coca-Cola stock at a price of $55.55 per share. The stock just paid an annual dividend of $1.76 and she expects the dividend to grow at 4% annually. If the next dividend is due in one year, what expected return is Coca-Cola stock offering

Answers

Answer:

the expected return is Coca-Cola stock offering is 7.3%

Explanation:

The computation of the expected return is shown below:

Expected return is

= (D1 ÷ Current price) + Growth rate

= [($1.76 × 1.04) ÷ 55.55] + 0.04

= (1.8304 ÷ 55.55) + 0.04

= 7.3%

Hence, the expected return is Coca-Cola stock offering is 7.3%

The same is to be considered

We simply applied the above formula

Your phone stopped working and you use your phone for calls, texting and checking emails. You went to the store to buy a cheap phone that just serves your needs but ended up buying a $1500 top of the line phone that does way more than what you need and also is very stylish. What need did the new phone satisfy

Answers

Answer:

Psychological needs

Explanation:

Since in the question it is mentioned that suddenly your phone stop working and you use the mobile for various reasons so you went to the store for purchase a cheap mobile that serves your needs so here the psychological needs would be considered as it is likely additional fulfilling needs i.e. luxury or expensive items

Therefore the same is to be considered

AB Builders, Inc., has 24-year bonds outstanding with a par value of $2,000 and a quoted price of 97.842. The bonds pay interest semiannually and have a yield to maturity of 6.80 percent. What is the coupon rate

Answers

Answer:

6.62%

Explanation:

Calculation for What is the coupon rate

First step is to calculate the semi-annual coupon payment on the bond using the formula for pmt in excel

= pmt(rate,nper,-pv,fv)

Rate = 6.80% / 2

Rate= 3.40%

nper = 24 *2

nper = 48

pv = 97.842%*2000

PV=$1,956.84

fv = $2000

Hence,

= pmt(3.40,48,-1956.84,2000)

pmt=66.164

Semi annually coupon payment = $66.164

Second step is to calculate Annual coupon payment

Annual coupon payment = 66.164 * 2

Annual coupon payment=$132.33 annually

Last step is to calculate the Coupon rate using this formula

Coupon rate = Annual Coupon Payment / Bond Par value * 100

Let plug in the formula

Coupon rate =132.33 / 2000

Coupon rate =6.62%

Therefore the coupon rate is 6.62%

Paying a premium of $10 per bond, Ms. Tracey Pringle bought 10 municipal bonds with 20 years to maturity. Ten years later, she sold the bonds for 103. For tax purposes, she has a:___________A) $300 loss.B) $250 gain.C) $200 loss.D) $200 gain.

Answers

Answer:

B) $250 gain.

Explanation:

The cost per bond is $1,010.

The amortization amount each year is 10/20 years =  $0.50 per year. $0.50 per year × 10 years = $5 per bond.

After 10 years, the adjusted cost basis is $1,005 per bond.

She sells the bonds for $1,030 per bond. $1,030 − $1,005 = $25 per bond

25 × 10 = $250 gain.

Perch Co. acquired 80% of the common stock of Float Corp. for $1,600,000. The fair value of Float's net assets was $1,850,000, and the book value was $1,500,000. The noncontrolling interest shares of Float Corp. are not actively traded. 5) What is the total amount of goodwill recognized at the date of acquisition? A) $0. B) $150,000. C) $170,000. D) $120,000. E) $250,000.

Answers

Answer: $150,000

Explanation:

The total amount of goodwill that'll be recognized at the date of acquisition will be calculated as follows:

First, we need to calculate the goodwill of controlling interest. This will be:

= $1600000 - ($1850000 × 80%)

= $1600000 - ($1850000 × 0.8)

= $1600000 - $1,480,000

= $120000

Then, we calculate the total amount of goodwill that'll be recognized at the date of acquisition which will be the goodwill of controlling interest divides by the percentage of ownership. This will be:

=$120000/80%

= $120000/0.8

= $150,000

Consider a portfolio with 80% invested in asset X and 20% invested in asset Y . The volatility of each asset is the same and equals to 0.2. The correlation coefficient between the two asset returns is 50%. What is the portfolio volatility

Answers

Answer:

The portfolio volatility is 26.83%.

Explanation:

The portfolio volatility refers to the standard deviation of the rate of return of an investment portfolio.

To calculate the standard deviation, the variance of the of the return on the portfolio is first calculated using the following formula:

Portfolio return variance = (WX^2 * SDX^2) + (WY^2 * SDY^2) + (2 * WX * SDX * WY * SDY * CFxy) ......................... (1)

Where;

WX = Weight of Stock X = 80%

WY = Weight of Stock Y = 20%

SDX = Standard deviation of stock X return = 0.2

SDY = Standard deviation of stock Y return = 0.2

CFxy = The correlation between stock X and stock Y = 50%

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

Portfolio return variance = (80%^2 * 0.2^2) + (20% * 0.2) + (2 * 80% * 0.2 * 20% * 0.2 * 50%)

Portfolio return variance = 0.072

The standard deviation of the return on this portfolio can be calculated as using the following formula:

[tex]PRSD =\sqrt{PRV}[/tex]  ........................... (2)

Where;

PRSD = Portfolio return standard deviation = ?

PRV = Portfolio return variance = 0.072

Substituting the values into equation (2), we have:

[tex]PRSD=\sqrt{0.072}[/tex]

PRSD = 0.2683, or 26.83%

Therefore, the portfolio volatility is 26.83%.

Two machines, A and B, which perform the same functions, have the following costs and lives. Type PV Costs Life Machine A $6,000 5 yr Machine B $8,000 7 yr Which machine would you choose

Answers

Answer:

Machine A

Explanation:

See attachment for tabulation

An nn-year 1,000 par value bond with 8 percent annual coupons has an annual effective yield of ii, i>0i>0. The book value of the bond at the end of year 3 is 1,099.84 and the book value at the end of year 5 is 1,082.27. Calculate the purchase price of the bond.

Answers

Answer:

the  purchase price of the bond is $1,106.125

Explanation:

The computation of the purchase price of the bond is shown below:

But before that we have to find the following amount

= ($1,082.7 - $1,099.84) ÷ ( 5 years - 3 years)

= - 6.285

Now the purchase price of the bond is

= $1,087.27 + (-6.285) × (-3)

= $1,106.125

hence, the  purchase price of the bond is $1,106.125

The same is to be considered

Amber is interested in investing her money in a mutual fund that invests in short-term debt securities issued by governments and large corporations. She also wants to be able to write checks and reinvest interest income from her investments. Which institution would Amber most likely choose for her investments

Answers

Question Completion:

Options to choose from:

a brokerage firm

a money market bank account

a money market fund

an insurance company

a pension fund

Answer:

Amber will likely choose for her investments:

a money market fund

Explanation:

For example, Amber can invest in the Vanguard Treasury Money Market or the Fidelity Money Market.  These are money market funds or mutual funds that invest in highly liquid, near-term instruments. These instruments include cash, cash equivalent securities, and high-credit-rating, debt-based securities with a short-term maturity (such as U.S. Treasuries).

Amber should choose for her investment is a money market fund.

The information regarding the money market fund is as follows:

It should be invested in highly liquid. It involved the cash, cash equivalent having short-term maturity period. It is like the mutual funds that are issued by the government and the large corporations.

Therefore we can conclude that Amber should choose for her investment is a money market fund.

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On April 1, Robert LLC purchased two units of inventory, A and B. The cost of unit A was $650, and the cost of unit B was $625. On April 30, Robert LLC had not sold the inventory. The net realizable value (NRV) of unit A was now $685 while the net realizable value of unit B was $550. The adjustment associated with the lower-of-cost-or-NRV method on April 30 will be: Multiple Choice

Answers

Answer:

$1,200

Explanation:

                purchase cost             net realizable value          LCM

unit A          $650                                $685                           $650

unit B          $625                                $550                          $550        

total          $1,275                                                                  $1,200

When you apply the lower of cost or market value, you must value your inventory at whichever is lower between historic cost (purchase cost) and the net realizable value (NRV). Any adjustments made will increase cost of goods sold and decrease inventory. In this case, the adjusting journal entry should be:

Dr Cost of goods sold 75

    Cr Inventory 75

On December 31, 2021, Coolwear Inc. had balances in Accounts Receivable and Allowance for Uncollectible Accounts of $49,000 and $2,150, respectively. During 2022, Coolwear wrote off $700 in accounts receivable and determined that there should be an allowance for uncollectible accounts of $5,900 at December 31, 2022. Bad debt expense for 2022 would be:______

Answers

Answer:

$4,450

Explanation:

Bad debt expense is the expenses that a company incur as a result of the debt owned to the company by its customers, which are not recoverable.

The bad debt expenses for Coolwear inc. would be calculated as;

Bad debt expense = Allowance for uncollectible accounts - (Uncollectible account balance - accounts receivable written off)

= $5,900 - ($2,150 - $700)

= $4,450

Therefore, bad debt expense for 2022 would be $4,450

llieis evaluating an investment that will provide the following returns at the end of each of the following years: year 1, $11,500; year 2, $10,000; year 3, $7,500; year 4, $5,000; year 5, $2,500; year 6, $0; and year 7, $12,500. Elliebelieves that she should earn an annual rate of 8percent on this investment. How much should Elliepay for this investment

Answers

Answer:

Ans 1 : 76 percent

Ans 2 : the eliepay must be all the numbers HCF for the investment = 340

Explanation:

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Henry Louis Gates says that David Levering Lewis called the Harlem Renaissance "art as civil rights." What does Lewis mean and why does Gates bring this up? The civil rights movement began when Harlem Renaissance writers took to the streets in protest. The writers and artists of the Harlem Renaissance sought to gain rights by proving their humanity. The writers of the Harlem Renaissance facilitated the demand for civil rights by focusing on the disadvantages of blacks in their art. The civil rights movement occurred in tandem with the integration of whites and blacks in Harlem. Whats The answer I'll mark brainliest to the first ONE WHO GETS IT CORRECt I need help with the operation management assignment plz 4. The time needed to complete the final exam in statistics at CAU is normally distributed with a mean of 90 minutes and a standard deviation of 10 minutes.What is the probability that the exam will be completed in one hour or less How are responses not a type of tropism? The slope is ___orThe slope is undefined Hurry please, I am being timed!Identify the fraction that is not equal to a repeating decimal.A. 1/9B. 3/11C. 3/20D. 7/12 The measurement of an object's mass is a ____. Is 0.3 a rational number i will give brain quick how much water will fill after 1 second How did the locations of missions change over time? What happens to the acceleration of a system when the mass of the system increases but the net force stays constant? Victor runs three laps around the track every five minutes to complete the table to show the relationship between the number of laps and time spent running. write your answers in the blank This is a photo of a famous movie archaeologist named Indiana Jones. What does and archaeologist study? Last year 10 teachers went on the 8th grade field trip to six flags, they used 3 school buses to transport the teachers and the 85 students who were able to attend. what is the student to the teachers ratio Your estimate of the market risk premium is 5%. The risk-free rate of return is 4%, and General Motors has a beta of 1.5. According to the Capital Asset Pricing Model (CAPM), what is its expected return pleaseeeeeee do this somebody thank you for a brainlest thx ya How would you solve this problem? Is marijuana addictive What happened to the colonists already living in the territory reserved for Native Americans?