Suppose you invest $20,000 by purchasing 200 shares of Abbott Labs (ABT) at $50 per share, 200 shares of Lowes (LOW) at $30 per share, and 100 shares of Ball Corporation (BLL) at $40 per share. The weight on Abbott Labs in your portfolio is:

Answers

Answer 1

Answer:

Investment

The weight on Abbott Labs' investment in the portfolio is:

50%

Explanation:

Investments made by the investor are:

200 shares of Abbott Labs (ABT) at $50 per share =      $10,000

200 shares of Lowes (LOW) at $30 per share =               $6,000

100 shares of Ball Corporation (BLL) at $40 per share =  $4,000

Total investments (Portfolio) = $20,000

Investments            Weights of investments            % Weight

Abbott Labs           $10,000/$20,000 * 100 =               50%

Lowes (LOW)          $6,000/$20,000 * 100 =               30%

Ball Corporation (BLL)  $4,000/$20,000 * 100 =         20%


Related Questions

Suppose that country A has higher real income per capita than country B. Explain why this does not imply that most citizens of country A have higher real income than most citizens of country B.
A. A high degree of income inequality in country A may result in most of its citizens having incomes below the average income of country B.
B. The higher per capita income in country A could be the result of most citizens there having country B unearned income.
C. Most citizens in country B may be employed, while the majority of those in country A may not work.
D. All of the above are plausible.

Answers

Answer:

A. A high degree of income inequality in country A may result in most of its citizens having incomes below the average income of country B.

Explanation:

Real per capita income is an average of the incomes earned by the citizens of a country. It is used to gauge the standard of living in a country.

However in the given scenario country A has a higher real income per capita but a lower real income than country B.

This can be explained by a disparity in income of citizens in country A. If some people are very rich and others are very poor, an average may give large per capita income.

While in country B if there is income equality the personal income of each individual will be high.

A bank manager notices that by the time customers get to the teller, they seem irritated and impatient. The manager wants to investigate the problem further, so she hires you to design a research project to figure out what is bothering the customers. The bank wants three studies? (a) several focus groups of their customers, (b) observation using a hidden camera, and (c) an online survey of 500 customers. Identify which studies are qualitative and which are quantitative. If you were to recommend only one study which of the three would you recommend? Why? Be specific.

Answers

Answer:

(a) several focus groups of their customers - qualitative study

A focus groups consists of a group of five to ten participants, who are allowed to discuss an issue or a product for one or two hours.

(b) observation using a hidden camera - qualitative study

The information obtained from the use of the hidden camera is of qualitative nature. Such information consists in the behaviour displayed by the customers that were recorded.

(c) an online survey of 500 customers. - quantitative study.

The online survey gives quantitative, measurable information that can later be expanded into a statistical study, and also used to establish other quantitative variables like probability distributions, or statistical regressions.

A market failure is most likely to occur when: Multiple Choice many producers produce identical products, and only the consumers are affected by the transactions. a sole producer of a good faces no threat of competition. several producers of a good compete for customers by having price wars. several producers of a good search for the lowest-cost method of production.

Answers

Answer:

a sole producer of a good faces no threat of competition.

Explanation:

A market failure can be defined as a situation where there is inefficiency in the distribution of goods and services from the producers to the consumer in a free or open market.

A market failure is most likely to occur when a sole producer of a good faces no threat of competition. This ultimately implies that, a sole producer of a product is the sole determinant of prices of goods, quantity of goods and even choose to hoard the goods, thereby resulting in a market failure.

QS 8-5 Computing revised depreciation LO C2 On January 2, 2017, the Matthews Band acquires sound equipment for concert performances at a cost of $65,800. The band estimates it will use this equipment for four years. It estimates that after four years it can sell the equipment for $2,000. Matthews Band uses straight-line depreciation but realizes at the start of the second year that due to concert bookings beyond expectations, this equipment will last only a total of three years. The salvage value remains unchanged. Compute the revised depreciation for both the second and third years

Answers

Answer:

depreciation expense per year (for years 2 and 3) = $23,925

Explanation:

depreciable value = $65,800 - $2,000 = $63,800

depreciation expense per year = $63,800 / 4 = $15,950

book value after 1 year = $65,800 - $15,950 = $49,850

new depreciable value = $49,850 - $2,000 = $47,850

depreciation expense per year = $47,850 / 2 years = $23,925

You want to retire in 30 years and be able to withdraw the equivalent of $90,000 per year (in today's dollars) from a retirement fund. Assume 3% inflation. You plan to be retired for 20 years. Assuming you can earn 12% on your investments BEFORE retirement and 7% on your investments DURING retirement, how much will you need to save per month in order to be able to fund this retirement

Answers

Answer:

$662.18

Explanation:

first we must determine how much are $90,000 in 30 years:

FV = $90,000 x (1 + 3%)³⁰ = $218,453.62

since the inflation rate is expected to remain the same during the 20 years that you are retired, we must find the present value of your distributions using the interest rate as our discount rate:

PV = $218,453.62 x 10.594 (PV annuity factor, 7%, 20 periods) = $2,314,297.65

the future value of your contributions = $2,314,297.65

you can earn 12% interest rate and should be able to make 360 contributions

$2,314,297.65 = monthly contribution x 3,494.96413 (FV annuity factor, 1%, 360 periods)

monthly contribution = $2,314,297.65 / x 3,494.96413 = $662.18

The amount required to save per month in order to be able to fund this retirement is $662.18

Calculation of the saving amount:

Since $90,000 now at 3% inflation should be

= 90000 × 1.03^30

=. $218,454

Now the PV at 7% should be

FV = 0;

1/y = 7%;

n=20;

PMT = 218454;

calculate PV = $2,314,305

Now the PMT should be

FV = 2314305;

PV = 0;

n= 12 × 30;

1/y = 12% ÷ 12;

Now PMT = $662.18

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When interest rates are fixed, rises in the rate of inflation tend to penalize ________ of financial capital, while _________ of financial capital end up better off.

Answers

Answer: b. suppliers; demanders

Explanation:

When interest rates are fixed, rises in the rate of inflation tend to penalize suppliers of financial capital, while demanders of financial capital end up better off.

When inflation rates rise, the value of the currency i.e. the dollar, is eroded which means that it can only buy less or pay for less than it used to.

If interest rates are fixed, the interest payments are fixed which means that when the suppliers of the capital are paid back in a rising inflation environment, they get less dollars back which means that they are worse off.

The demanders of the capital however, will be effectively paying back less than they are supposed to pay so they will be better off.

Todd Foley is applying for a $240,000 mortgage. He can select either a $1,680 monthly payment with no points or a $1,512 payment with 4 points. How many months will it take Todd to cover the cost of the discount points if he takes the lower monthly payment

Answers

Answer:

57 months

Explanation:

Calculation of number of lower monthly payment

Number of months = Percentage discount Points * Principal / Higher amount without point - Lower amounts with point

Number of months = $240,000  * 0.04 / $1,680 - $1,512

Number of months = $9600 / $168

Number of months = 57.14285714285714

Number of months = 57 months

Hence,  it will take 57 months to cover the cost of the discount points if he take lower monthly payments .

In the long run, if the marginal product of capital equals the real interest rate, investment is given by: g

Answers

Answer:

Investment equals savings.

Explanation:

Marginal product of capital is the real rental price of the capital. It is equal to the real interest rate if the law of diminishing returns is prevailing in the economic system. In such case the investments will be equal to savings. If the real interest rate is increased by the marginal product of capital then depreciation rate and risk premium accounts for the difference.

In a perfectly competitive market, if supply and demand fully reflect all of the costs and benefits associated with production and consumption, then total economic surplus is maximized when:_____

a. Price controls keep prices low enough that most consumers can purchase the item.
b. Consumer surplus and producer surplus are equal.
c. Consumer surplus is greater than producer surplus.
d. The market is in equilibrium.

Answers

Answer:

d. The market is in equilibrium.

Explanation:

In a perfect competition, there are many buyers and sellers of homogeneous products, and there is free entry and exit in the market.

This simply means that, in a perfectly competitive market, there are many buyers and sellers (price takers) of homogeneous products (standardized products with substitute) and the market is free (practically open) to all individuals or business entities that are willing to trade all their goods and services.

In a perfectly competitive market, if supply and demand fully reflect all of the costs and benefits associated with production and consumption, then total economic surplus is maximized when the market is in equilibrium.

Additionally, in a perfectly competitive market in long-run equilibrium, a long-run equilibrium avails firms the opportunity to adjust all inputs and all fixed costs are maximized. Also, it's characterized by free entry and exit, as such there isn't a fixed number of firms. This simply means that, since the number of firms in a long-run equilibrium can change, a firm must exit the market as a result of losses i.e when the firm is unable to cover its fixed costs in the long-run while new firms are allowed entry into the market when it anticipates potential profits or gains.

However, the firms always strive to maximize profits by increasing their level of output, such that P = MC. Also, the firms wouldn't be willing to leave or enter into the market because they are not making any profit, such that P=AC.

In a nutshell, in the long run equilibrium P=MR=MC and P=AC.

Where, P represents the price.

The smaller the number of good substitutes for a product, the greater will be the price elasticity of demand for it. True or False True False

Answers

Answer:

False.

Explanation:

A price elasticity of demand can be defined as a measure of the responsiveness of the quantity of a product demanded with respect to a change in price of the product, all things being equal.

Mathematically, the price elasticity of demand is given by the formula;

[tex] Price \; elasticity \; of \; demand = \frac {percent \; change \; in \; quantity \; demanded}{percent \; change \; in \; price}[/tex]

The demand for goods is said to be elastic, when the quantity of goods demanded by consumers with respect to change in price is very large. Thus, the more easily a consumer can switch to a substitute product in relation to change in price, the greater the elasticity of demand.

A substitute product can be defined as a product that a consumer sees as an alternative to another product and as such would offer similar benefits or satisfaction to the consumer.

Generally, consumers would like to be buy a product as its price falls or become inexpensive.

Hence, the smaller the number of good substitutes for a product, the lesser will be the price elasticity of demand for it.

For substitute products (goods), the price elasticity of demand is always positive because the demand of a product increases when the price of its close substitute (alternative) increases.

A proposed new project has projected sales of $201,000, costs of $93,000, and depreciation of $25,400. The tax rate is 22 percent. Calculate operating cash flow using the four different approaches. (Do not round intermediate calculations.)

Answers

Answer:

Please see below

Explanation:

• Approach 1

Tax shield approach

[(Sales - Expenses)(1-t) + Depreciation(t)]

[($201,000 - $93,000)(1-0.22) + $25,400(0.22)

Operating cash flow = $84,240 + $5,588

Operating cash flow = $89,828

• Approach 2

Free cash flow

EBIT [$201,000 - $93,000 - $25,400]

$82,600

Add: Depreciation

$25,400

Less: Taxes 22%(0.22 × $82,600)

($18,172)

Operating cash flow

$89,828

• Approach 3

Button up approach

Net income + Depreciation

Operating cash flow = $64,428 + $25,400

Operating cash flow = $89,828

• Approach 4

Top down approach

EBIT(1-t) + Depreciation

Operating cash flow = $82,600(1 - 0.22) + $25,400

Operating cash flow = $64,428 + $25,400

Operating cash flow = $89,828

"You are considering investing in a mutual fund. The fund is expected to earn a return of 15 percent in the next year. If its annual return is normally distributed with a standard deviation of 5.20 percent, what return can you expect the fund to beat 95 percent of the time? (Round answer to 2 decimal places, e.g. 52.75%.)"

Answers

Answer:

Expected return = 4.808% to 25.192%

Explanation:

Given:

Average rate of return = 15%  

Standard deviation = 5.20%

At 95% Z value = 1.96

Find:

Expected return

Computation:

Expected return = Average return ± [Z× Standard deviation]                     Expected return  = 15% ± [1.96 × 5.20%]

Expected return = 15% - 10.192% and 15% + 10.192%

Expected return = 4.808% to 25.192%

Calculate current liabilities Sales Revenue $25,000 Accounts Payable $1,200 Accounts Receivable $2,600 Inventory $3,200 Supplies $300 Cost of Goods Sold $16,000 Notes Payable (due in 2 years) $24,000 Equipment $40,000 Accumulated Depreciation $12,000 Land $30,000 Unearned Revenue $1,100 Taxes Payable $1,400 Prepaid Rent (3 months) $2,100 Cash $5,200

Answers

Answer:

$3,700

Explanation:

Calculation for the current liabilities

CURRENT LIABILITIES

Account Payables $1,200

Unearned revenues $1,100

Taxes Payable $1,400

Total current liabilities $3,700

Therefore the Total current liabilities is $3,700

Which of these loan options is strongly recommended for first-time buyers? Choose all that apply. Adjustable-rate Contract for deed Balloon Fixed-rate Interest-only

Answers

Answer:

Fixed-rate

Explanation:

Fixed-rate loans and mortages are those that have a specific interest rate, and a specific payment that will not ever change over the duration of the loan because both are fixed. In other words, a fixed-rate loan is simply a annuity payment over a particular period of time.

For first-time buyers this is the easiest option because it is simple, it can be easily projected over time, and helps with financial planning.

InfoFree Inc., makes and sells devices and services for the circumvention of encryption software and other technological antipiracy protection. Under the Digital Millennium Copyright Act, this is

Answers

Answer:

a violation of copyright law.

Explanation:

The term "Digital Millennium Copyright Act" is also denoted as "DMCA" and was established in 1998 as an "anti-piracy statute" which is effectively responsible in making it illegal to the "circumvent copy protections" that are being designed to discriminate pirates from duplicating the "digital copyrighted" selling and works or tends to distribute them freely.

The violation of copyright law is described as a violation of an organization or individual's copyright. It is referred to as the unauthorized usage of any copyrighted material, for example, videos, text, software, photos, etc.

In the question above, the given statement represents the violation of copyright law.

A firm has current assets that could be sold for their book value of $16 million. The book value of its fixed assets is $55 million, but they could be sold for $85 million today. The firm has total debt with a book value of $35 million, but interest rate declines have caused the market value of the debt to increase to $45 million. What is this firm's market-to-book ratio? (Round your answer to 2 decimal places.)

Answers

Answer:

2.81

Explanation:

The first step is to calculate the market value

= 16 million + 85 million

= 101 million

The book value can be calculated as follows

= 16 million + 55 million -35 million

= 36 million

Therefore the firm market to book ratio can be calculated as follows

= 101 million/36 million

= 2.81

You would like to have enough money saved to receive $150,000 per year perpetuity after retirement so that you and your family can lead a good life. How much would you need to save in your retirement fund to achieve this goal

Answers

Answer:

$2,500,000

Explanation:

The computation of the saving amount is shown below

The Present value of a perpetuity is

= Annual cash flows ÷ interest rate

= $150,000 ÷ 0.06

= $2,500,000

By dividing the annual cash flows from the rate of interest we can get the present value of a perpetuity and the same is to be considered

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

The amount you would need to save  in your retirement fund to achieve this goal is $2,500,000.

Present value:

Using this formula

Present value =Annual cash flows per year ÷ Interest rate

Where:

Annual cash flows per year=$150,000

Interest rate=10% or 0.10

Let plug in the formula

Annual cash flows per year = $150,000 ÷ 0.06

Annual cash flows per year = $2,500,000

Inconclusion the amount you would need to save  in your retirement fund to achieve this goal is $2,500,000.

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g cd Marco deposited today $100,000 in a three-year, 12% Certificate of Deposit (CD) that compounds quarterly. What is the maturity value of the CD

Answers

Answer:

The maturity value of the CD  is $142,576

Explanation:

The computation of the maturity value of the CD is shown below:

As we know that

Maturity Value  = Deposit made × (1 + rate of interest)^number of years

where

r = 12% ÷ 4 = 3%

And,

n = 3 × 4 = 12

Now

The Maturity Value of a Cash Deposit is

= $100,000 × (1.03)^12

= $142,576

hence, the maturity value of the CD  is $142,576

An invoice
O A. is a demand for immediate payment
OB. must be paid within 10 days from the date of the invoice
O c. is the bill that the purchaser receives from the vendor
OD. is the purchaser's request for payment from the seller

Answers

It would be C. Because I just know

An invoice is a bill that the purchaser receives from the vendor.

What does it mean to receive an invoice?

A bill is an invoice in that it has the itemized list of products sold or services provided, along with the amount of money owed for each item, and a total amount owed. However, when you receive an invoice, you would enter it as a bill that you owe. In other words, an invoice is sent, and a bill is received.

What is in an invoice?

It includes the cost of the products purchased or services rendered to the buyer. Invoices can also serve as legal records if they contain the names of the seller and client, the description and price of goods or services, and the terms of payment.

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Suppose you have a project that has a 0.5 chance of tripling your investment in a year and a 0.5 chance of doubling your investment in a year. What is the standard deviation of the rate of return on this investment?

Answers

Answer:

50%

Explanation:

Suppose the return form tripling = 300%

Suppose the return form doubling = 200%

Probability   Return           Calculation           Expected return

0.50             300%       150% (0.50*300%)          150%

0.50              200%      100% (0.50*200%)          100%

                                      Expected return             250%

Standard deviation = [tex]\sqrt{P1*(Rt - E(R))^2 + Pd*(Rd - E(R))^2}[/tex]

Standard deviation = [tex]\sqrt{0.50 * (300% - 250%)^2 + 0.50*(200% - 250%)^2}[/tex]

Standard deviation = [tex]\sqrt{1250% + 1250%}[/tex]

Standard deviation = [tex]\sqrt{2500%}[/tex]

Standard deviation = 50%

Hence, the Standard deviation is 50%

Activity based costing system differs from traditional costing systems in the treatment of ________.

Answers

Answer:

Indirect costs.

Explanation:

The total cost of a product varies with allocation of indirect costs. Direct costs don't seem to be making problems as they will be directly identifiable. Stebacks in traditional ranges from its pools of all the indirect costs and allocates them using the allocation bases to departments. This allocation method in certain cases doesn't be because it pools the indirect costs of all products of various stages while within the cost of individual activities are assigned first and are directly used because the basis of assigning cost to the final word cost objects. Implying that it assigns over heads to every activity first, then reallocates that cost to the individual product or service.

The common stock of the C.A.L.L. Corporation has been trading in a narrow range around $50 per share for months, and you believe it is going to stay in that range for the next three months. The price of a three-month put option with an exercise price of $50 is $4, and a call with the same expiration date and exercise price sells for $7.

Required:
a. What would be a simple options strategy using a put and a call to exploit your conviction about the stock price's future movement?
b. What is the most money you can make on this position? How far can the stock price move in either direction before you lose money?
c. How can you create a position involving a put, a call, and riskless lending that would have the same payoff structure as the stock at expiration? The stock will pay no dividends in the next three months. What is the net cost of establishing that position now?

Answers

Answer:

a) selling a call option to put in order to get a premium income

b) $7 + $4 = $11

c) The net cost of establishing the position = $50

Explanation:

Given data:

stock price = $50

Exercise price = $50

price of put option = $4

price of call option = $7

A) A simple option strategy  would be

selling a call option to put in order to get a premium income  

b) The most money that can be made =  $7 + $4 = $11

C) create a position that involves a put, a call and riskless lending

The net cost of establishing the position = $50

Kai decides to add color and keep his price the same. This will increase variable costs by $0.40 per issue. What will be the new unit volume (copies per issue) required to maintain $500 profits and cover the increased fixed and variable costs?

Answers

Answer:

the first part of the question is missing, so I looked it up:

Kai sells a small magazine full of celebrity gossip to college students for $2.05 per copy. Hiring the printing press for one day, the only fixed cost, is $431 an issue. The variable cost of printing each issue is $1.19 per copy.

before color is added, the contribution margin and break even point were:

contribution margin = $2.05 - $1.19 = $0.86

break even point in units = $431 / $0.86 = 501.16 ≈ 502 units

break even point in $ = 502 x $2.05 = $1,029.10

if Kai wants to earn $500 in profits = $931 / $0.86 = 1,082.56 ≈ 1,083, Kai must sell 1,083 copies

after color is added:

contribution margin = $2.05 - $1.19 = $0.46

break even point in units = $431 / $0.46 = 936.96 ≈ 937 units

break even point in $ = 937 x $2.05 = $1,920.85

if Kai wants to earn $500 in profits = $931 / $0.46 = 2,023.91 ≈ 2,024, Kai must sell 2,024 copies

Suppose that in a country people gain more confidence in the banking system and so hold relatively less currency and more deposits. As a result, bank reserves will a. decrease and the money supply will eventually decrease. b. decrease and the money supply will eventually increase. c. increase and the money supply will eventually decrease. g

Answers

Answer: increase and the money supply will eventually decrease

Explanation:

Bank reserve simply means that the minimum funds that the commercial banks must have so that they'll be able to meet the requirements of the central bank.

When the people in a country gain more confidence in the banking system and so hold relatively less currency and more deposits, this will lead to an increase in the bank reserves. Since bank reserve has risen, the amount of money available that is, money supply will decrease due to the fact that the funds have been reserved and kept. It is a form of contractionary policy which is usually used when there's too much money in circulation.

g Use the appropriate formula to determine the periodic deposit. How much of the financial goal comes from deposits and how much comes from​ interest? Periodic Deposit Rate Time Financial Goal ​$? at the end of each month ​% compounded monthly years ​$

Answers

Question Completion:

Periodic Deposit = ?

Rate = 7% compounded monthly

Time = 19 years

Financial Goal ​$120,000

Answer:

a) The periodic deposit = $253.03

b) Amount of financial goal from deposits = $57,691.30

c) Amount of financial goal from interest = $62,308.71

Explanation:

You will need to contribute $253.03 at the end of each month to reach the future value of $120,000.00.

FV (Future Value) $120,000.00

PV (Present Value) $31,860.39

N (Number of Periods) 228.000  (19 * 12 months)

I/Y (Interest Rate) 0.583%  (7%/12)

PMT (Periodic Payment) $253.03

Starting Investment $0.00

Total Principal $57,691.30

Total Interest $62,308.71

What is the name of the independent federal agency that is designed to monitor and regulate the country's credit unions

Answers

Answer:

The National Credit Union Administration

Explanation:

The National Credit Union Administration is an independent federal agency that supports and regulates federal credit unions and their customers in the United States.

In order to be fully rested before Angel’s big History test, she should get at least________hours of sleep.
a.
8
c.
9
b.
7
d.
10


Please select the best answer from the choices provided

A
B
C
D

Answers

Answer:

B. 7 hours

Explanation:

right on edg

Answer: B. 7 hours

Explanation: On Edge!

Revenue on account amounted to $5,200. Cash collections of accounts receivable amounted to $4,900. Cash paid for expenses was $3,600. The amount of employee salaries accrued at the end of the year was $1,400. What is the net cash flow from operating activities for the year

Answers

Answer:

$5100

Explanation:

The net cash flow in this scenario can be calculated by adding all the incoming revenue of the company and subtracting all the expenses that would be outgoing. Incoming Revenue in this scenario would be the initial $5,200 and the accounts receivable of $4,900. While the outgoing expenses would be the cash for expenses of $3,600 and the employee salaries accrued of $1400. Now we can add and subtract them to calculate the net cash flow

$5200 + $4900 - $3600 - $1400 = $5100

g A stock has an expected return of 16.00%. The risk-free rate is 1.63% and the market risk premium is 10.53%. What is the β of the stock?

Answers

Answer: Beta = 1.36

Explanation:

Using the  Capital Asset Pricing Model CAPM formulae, we have that  

Expected return= risk free rate+(betaXmarket risk premium)

16= 1.63 + ( beta x 10.53)

16-1.63= beta x 10.53

14.37/10.53 = beta

Beta = 1.36

What generic competitive strategy has America West chosen to use in entering the air passenger market

Answers

Answer:

The generic competitive strategy that America West chose to enter the air passenger market is:

Low Cost (Cost-focused Leadership)

Explanation:

American West can acquire competitive advantage by pursuing one of Michael Porter's generic strategies. The Airline could have chosen to enter the air passenger market via lower costs than its competitors or by differentiating itself along dimensions valued by customers in order to be paid a higher fare.  In 1983, it chose the lower cost strategy before merging with American Airlines in 2013.

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Georgia veterans of American revolution were rewarded with Add the Polynomials(7-7p4) + (5p4 + 7) h(t)= 50-t/5h(35) = What characteristics describe the solutes in the NaCl solutions in this activity?Select all that apply:-small-large-non-polar-polar-ionic/charged(Select two) Plz help!!!!What is a major cause of the Caribbean and Central American diaspora?Responses A. poverty B. colonization C. cultural exchange D. conflict WHAT TO THE SLAVE IS THE FOURTH OF JULY?By Frederick DouglassExtract from an Oration, at Rochester, July 5, 1852Fellow-CitizensPardon me, and allow me to ask, why am I called upon to speak here to-day? What have I, or those I represent, to do with your national independence? Are the great principles of political freedom and of natural justice, embodied in that Declaration of Independence, extended to us? and am I, therefore, called upon to bring our humble offering to the national altar, and to confess the benefits, and express devout gratitude for the blessings, resulting from your independence to us?But, such is not the state of the case. I say it with a sad sense of the disparity between us. I am not included within the pale of this glorious anniversary! Your high independence only reveals the immeasurable distance between us. The blessings in which you this day rejoice, are not enjoyed in common. The rich inheritance of justice, liberty, prosperity, and independence, bequeathed by your fathers, is shared by you, not by me. The sunlight that brought life and healing to you, has brought stripes and death to me. This Fourth of July is yours, not mine. You may rejoice, I must mourn. To drag a man in fetters into the grand illuminated temple of liberty, and call upon him to join you in joyous anthems, were inhuman mockery and sacrilegious irony. Do you mean, citizens, to mock me, by asking me to speak to-day? . . .Fellow-citizens, above your national, tumultuous joy, I hear the mournful wail of millions, whose chains, heavy and grievous yesterday, are to-day rendered more intolerable by the jubilant shouts that reach them. If I do forget, if I do not faithfully remember those bleeding children of sorrow this day, "may my right hand forget her cunning, and may my tongue cleave to the roof of my mouth!" To forget them, to pass lightly over their wrongs, and to chime in with the popular theme, would be treason most scandalous and shocking, and would make me a reproach before God and the world. My subject, then, fellow-citizens, is AMERICAN SLAVERY. I shall see this day and its popular characteristics from the slave's point of view. Standing there, identified with the American bondman, making his wrongs mine, I do not hesitate to declare, with all my soul, that the character and conduct of this nation never looked blacker to me than on this Fourth of July. Whether we turn to the declarations of the past, or to the professions of the present, the conduct of the nation seems equally hideous and revolting.What does Douglass hold the nation accountable for? (5 points)Changing the Declaration of IndependenceRemembering the suffering of others in the midst of their joyThe need to stop celebrating the Fourth of JulyThe hideous and revolting conduct of the past and present 6th grade math i mark as brainleist or whatever thats spelled What is X? 3(-x-3)+x-3=-24 A truck is traveling at an initial velocityof+39m/s and it starts slowing down smoothly for 3.3s. It covers a distance of 45m while slowing down. What is theacceleration? I need some help real quick. thank you[tex] \frac{3}{4} |5 + x| = 6[/tex][tex]10 - |x| = 15[/tex] Anyone else live in culpeper VA Given m||n, find the value of x.+(3x-2)(2x+30) if you wanted to use a working memory test to assess general intelligence scores, which kind of task should you use? What is the equation for the line of reflection? The step-by-step instructions for conducting the experiment. How's it going gamers? Help me fast please :)What changes, if any, should be made to correct the punctuation in this sentence? California the place where the author grew up figures prominently in his writing. A. Make no changes; the sentence is correct as is. B. Add a dash after California and a dash after up. C. Add a dash after California and dash after prominently. D. Add a dash after California and make no other changes. write a letter problem your schools The diagram below provides details about an important historical event. NAME _______________________Instructions: Read each problem carefully and solve. Use the space below each problem to show your work and explain your thinking.1. James decided to make his mother a cake for Mothers Day. As he checked the recipe to make sure he had all the items he needed, he noticed that it required 30 deciliters of milk. He already has 1 liter of milk in the refrigerator. How many liters of milk will he need to buy for the cake recipe?2. Eric and Paul both made airplanes in afterschool. They decided to have a contest to see which plane could fly the longest distance. Erics plane flew 6 meters. Pauls plane flew 68 centimeters. Which plane flew the longest distance and how much father did it fly?3. Ansley and her family decided to go to the beach for summer vacation. As they prepared to leave for their trip, her father programmed their GPS with the address of their beach house in D