What are the global implications for the product or service you are marketing? What are the global implications of your marketing strategy and recommendations? “Rockstar video games”

Answers

Answer 1

Answer:

The global implications for the product or service you are marketing is explained below in complete details.

Explanation:

The principal involvement of a marketing maneuvering is the familiarization approaching gathering customer requirements that appears in enhanced customer fulfillment and satisfaction. ... Such a marketing maneuvering is intended to achieve and to grow new customers as you develop a more agreeable character.


Related Questions

A collaborative selling environment makes the sales pitch more challenging for salespeople.
O True
O False

Answers

Answer:

O True

Explanation:

In the case when the selling environment is collaborative so it would make the sales pitch more challenging for the sales people

Here collaborative selling means the collaboration that does not between the sales team members but it would be done between the sales people and the customers

So the given statement is true

Hence, it is not false

Blue Spruce Corp. purchases a patent for $320,000 on January 2, 2022. Its estimated useful life is 16 years. Prepare the journal entry to record amortization expense for the first year.

Answers

whatt ? ignore the answer above , show me the answer choices.

During the recent economic downturn, your community has experienced unemployment rates of approximately 9%. What can be done to mitigate the effects of the financial impact to your organization

Answers

Answer:

Reducing the expenditures of the organization by cutting the cost in order to balance or be stable in the economic depression is the most important strategy so far.

Explanation:

Remedies to mitigate the effects of the financial impact to your organization caused due to economic downturn:

Reducing the expenditures of the organization by cutting the cost in order to balance or be stable in the economic depression is the most important strategy so far. Let's see how.

As we know the basic formula of financial management.

Financial Statement = Income + Expenditure.

Obviously, in the time of economic downturn or depression, the first thing and the most important thing is to cutting the unnecessary cost. To be in financial equilibrium, organization has to reduce its manpower. Reduce the defects as much as possible. Reduce wastage as much as possible. Lower the utility bills by reducing the use of unnecessary devices. Promotion of human resources and benefits plus bonuses must be held in abeyance in this difficult time. In this whole scenario, group leaders and higher authorities playing the role of leaders of the organization has the utmost responsibility to bring their employees and staff in confidence.  As a result, organization will undoubtedly survive the wave of depression in the long run.

For bonds issued 2019, the taxpayer must amortize bond premium using which of the following methods?

a. Straight-Line Method
b. Constant Yield Method
c. Activity Depreciation Method
d. Double Declining Balance

Answers

Answer:

For bonds issued 2019, the taxpayer must amortize bond premium using  the following method:

a. Straight-Line Method.

Explanation:

The premium paid by the taxpayer for a bond represents part of the cost basis of the bond.  The bond premium can be tax-deductible at a rate spread out (amortized) over the bond's lifespan.  The straight-line method for bond premium amortization is considered to be a simpler method than the effective interest amortization method.  While the straight-line amortization divides the bond's total premium over the remaining payment periods, the effective interest, which is more complicated, computes some unique values at all points during the amortization process.

Alan's employer maintains a long-term disability income plan on which it pays all premiums. Last year, Alan received $40,000 in benefits under the plan during his period of disability. How much of the benefits received, if any, must Alan include in his income

Answers

Answer:

$40,000

Explanation:

If Alan had paid the disability insurance himself, then disability income would not be taxable. But since Alan's employer paid the disability insurance premiums, then any disability payments that Alan received must be included in his gross income and are taxable.

The amount of the benefit received if any must Alan include in his income should be $40,000.

The following information should be considered:

In the case when Alan had paid the disability insurance himself, then disability income would not be taxable. But since Alan's employer paid the disability insurance premiums, then any disability payments that Alan received must be included in his gross income and are taxable.

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Select the true statement about the relationship between law, ethics, and business.

a. People generally have similar opinions on what actions or conduct are called moral, and the marketplace rewards businesses that conduct themselves in such a manner.
b. Each person has a different definition of what is moral or ethical, so it is not possible for businesses to know what qualifies as ethical conduct.
c. The marketplace is generally unconcerned with whether or not businesses conduct themselves morally, since morality is difficult to define.
d. Since morals and ethics are not objective and cannot be specifically measured, the relationship between the value of a business and its ethical conduct is murky at best.

Answers

Answer:

A

Explanation:

Vaughn Manufacturing gathered the following reconciling information in preparing its August bank reconciliation: Cash balance per books, 8/31 $28600 Deposits in transit 1200 Notes receivable and interest collected by bank 6900 Bank charge for check printing 160 Outstanding checks 16300 NSF check 1390 The adjusted cash balance per books on August 31 is

Answers

Answer:

$33,950

Explanation:

Calculation for The adjusted cash balance per books on August 31 is

Cash balance per books, 8/31 $28,600

Add Notes receivable and interest collected by bank 6,900

Less Bank charge for check printing (160)

Less NSF check (1,390)

Adjusted cash balance per books $33,950

Therefore the adjusted cash balance per books on August 31 is $33,950

Given the vast resources available to mutual fund managers, these managers on average have generally: Multiple Choice outperformed the overall market on a risk-adjusted basis. eliminated excess profits for arbitrageurs. beat broad-based indexes. proved the market to be strong form efficient. underperformed the market on a risk-adjusted basis.

Answers

Answer: underperformed the market on a risk-adjusted basis.

Explanation:

A mutual fund manager is someone who implements a investment strategy for a fund and helps.in the management of the trading activities as well. They simply help in overseeing the mutual funds and also help in making vital decisions regarding such investments.

Given the vast resources available to mutual fund managers, these managers on average have generally underperformed the market on a risk-adjusted basis. They've not been able to beat the market while some have even run at a loss as they made bad investment decisions.

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Napakaraming uri ng impormasyon ang maaaring makuha sa internet, gaya ng​

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Answer:

seriously what is this?

An economy consists of three workers: Brian, Edison, and Kevin. Each works 10 hours a day and can produce two services: mowing lawns and washing cars. In an hour, Brian can either mow 2 lawns or wash 1 car; Edison can either mow 1 lawn or wash 1 car; and Kevin can either mow 1 lawn or wash 2 cars.

For each of the scenarios listed below, determine how many lawns will be mowed and how many cars will be washed per day.

a. All three spend all their time mowing lawns. (A)
b. All three spend all their time washing cars. (B)
c. All three spend half their time on each activity. (C)
d. Tim spends half his time on each activity, while Brian only washes cars and Edison only mows lawns. (D)

Answers

Answer:

Brian can mow 2 lawns or wash 1 car in an hour. Edison can do one of each and Kevin can mow 1 lawn or wash 2 cars.

a. All three send their time mowing lawns:

= (2 * 10) + (1 * 10) + (1 * 10)

= 40 lawns

No cars washed.

b. All three spend all their time washing cars.

No lawns.

Cars washed = (1 * 10) + (1 * 10) + (2 * 10)

= 40 cars washed

c. All three spend half their time on each activity.

Half their time = 5 hours.

Lawns mowed = (2 * 5) + (1 * 5) + (1 * 5)

= 20 lawns mowed

Cars washed = (1 * 5) + (1 * 5) + (2 * 5)

= 20 cars washed

d. Kevin spends half his time on each activity, while Brian only washes cars and Edison only mows lawns. (D)

Lawns mowed = (1 * 5) + (1 * 10)

= 15 lawns mowed

Cars washed = (2 * 5) + (1 * 10)

= 20 cars washed

The discount rate is the: multiple choice 1 interest rate at which banks can borrow reserves from other banks. lowest interest rate that banks can charge for loans to their most creditworthy customers. lowest interest rate that banks can charge for lending reserves to other banks or financial institutions. interest rate at which banks can borrow reserves from the Federal Reserve. b. If the Fed were to decrease the discount rate, banks will borrow: multiple choice 2 fewer reserves, causing an increase in lending and the money supply. more reserves, causing an increase in lending and the money supply. more reserves, causing a decrease in lending and the money supply. fewer reserves, causing a decrease in lending and the money supply.

Answers

Answer:

a. The discount rate is the

interest rate at which banks can borrow reserves from the Federal Reserve.

The discount rate is the interest rate that the FED charges commercial banks, credit unions, or other financial institutions for lending them money.

b. If the Fed were to decrease the discount rate, banks will borrow

more reserves, causing an increase in lending and the money supply.

Lowering the discount rate is considered part of an expansionary monetary policy since banks will borrow more money and lend more money to the public, increasing the money supply.

Determine if the numerical value describes a parameter or a statistic.
A recent poll of 1887 corporate executives showed that the average price of their cars is $44,200.

Answers

Answer:

Sample Statistic

Explanation:

The given statement is "A recent poll of 1887 corporate executives showed that the average price of their cars is $44,200".

We need to determine if the numerical value describes a parameter or a statistic.

The average price of their cars is $44,200. It is a sample point of the data. It shows only an attribute of car. Hence, the numerical value describes a statistic.

What term refers to people who are trendy and fashionable in order to impress others and are often impulse buyers?

a. stretchers
b. stunners
c. survivors
d. strivers

Answers

Answer: Strivers

Explanation:

The term that refers to people who are trendy and fashionable in order to impress others and are often impulse buyers is Strivers.

It should be noted that Strivers are usually consumers that are from low income families but they so much believe in style and fashion and really wants to impress and emulate celebrities or high income earners who use lastest trends or fashion.

Kuzu Company discovers in 2019 that its ending inventory at December 31, 2018, was $7,000 understated. What effect will this error have on (a) 2018 net income (b) 2019 net income (c) the combined net income for the 2 years

Answers

Answer:

Kuzu Company

Effect of understatement of ending inventory at December 31, 2018 by $7,000:

a) 2018 net income was understated by $7,000.  It should increase by $7,000

b) 2019 net income was overstated by $7,000.   It should reduce by $7,000.

c) the combined net income for the 2 years: No effect.

Explanation:

When Kuzu's ending inventory at December 31, 2018 was understated, it implies that its net income was also understated by $7,000.  This ending inventory becomes the beginning inventory for 2018. The understatement of the previous year's ending inventory (and net income) will become overstatement of the current year's net income.  However, when the two years are combined, the net income will not be affected as one understatement cancels the other overstatement.

A contact center manager is looking for ways to overall cost per case.
What Salesforce metrics should the contact center manager evaluate? (Choose 2)

A. Average number of activities per case
B. Average number of articles attached to a case
C. Total number of cases by origin
D. Average customer satisfaction score by case

Answers

The correct answer is A and C

An average number of activities per case and a Total number of cases by origin  Salesforce metrics should the contact center manager evaluate. Therefore option A and C is correct.


What is the cost?

A cost is a sum of money that was used during the production or delivery of a service or item that is therefore no longer accessible for use. In the case of an asset value, the money spent on the acquisition is considered the cost. In this instance,

Money is the input used to obtain the item. This acquisition cost may include both additional transaction expenses incurred by the acquirer over and beyond the price given to the producer, as well as the manufacturing costs as borne by the original producer. Typically, there is a profit margin added to the price over the cost of manufacturing.

Cost is a measure that adds up as a result of a procedure or as a difference in the outcome of a decision, to put it more broadly in the context of economics.  Cost is hence the metric employed in the common modeling paradigm for economic processes.

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You own Bond B and are concerned about interest rates increasing soon. You have chosen Bond H to hedge your B risk. The greater H's dv01:__________.a) the more of it you need to buyb) the more of it you need to sell shortc) the less of it you need to buyd) the less of it you need to sell short

Answers

Answer:

The greater H's dv01:__________

c) the less of it you need to buy.

Explanation:

The dollar (or money) duration or DV01 is the dollar value per 01 (100 basis points) of a bond.  It measures a bond’s interest rate risk in nominal or dollar-amount terms.  Dollar (money) duration assumes that bonds have fixed rates with fixed interval payments.   It is a linear approximation of how a bond's value will change in response to changes in interest rates.

Assume that interest rate parity holds and that 90-day risk-free securities yield 6% in the United States and 6.5% in Germany. In the spot market, 1 euro equals $1.35. What is the 90-day forward rate

Answers

Answer: 1.356345

Explanation:

Based on the scenario and information provided in the question, the 90-day forward rate will be calculated as:

= Spot Rate × (1 + Germany Interest Rate) / (1 + United States Interest Rate)

= 1.35 × (1 + 6.5%) / (1 + 6%)

= 1.35 × (1 + 0.065) / (1 + 0.06)

= 1.35 × 1.065/1.06

= 1.35 × 1.0047

= 1.356345

You should use a(n) _____________ to track the mean diameter of the pipe for a manufacturing process producing copper pipes.

Answers

Answer: String

Explanation:

How the measurement is done with a string;

•Wrap a string around the pipe.

•Mark the point where the string touches together.

•Use a ruler or measuring tape to find the length between the tip of the string and the mark you made (circumference)

•Divide the circumference by 3.14159.

What is the price of a three-year coupon bond with a coupon rate of 1%, face value equal to $100, and a current interest rate of 0.75%? Do not include any symbols in your answer.

Answers

Answer: 100.74

Explanation:

Face value= $100

Coupon payment = $100 × 1% = $100 × 1/100 = $100 × 0.1 = $1

Interest rate = 0.75% = 0.75/100 = 0.0075

The price of the bond will be:

= 1/(1 + 0.0075) + 1/(1 + 0.0075)^2 + 1/(1 + 0.0075)^3

= 100.74

Palmer Corp. is considering the purchase of a new piece of equipment. The cost savings from the equipment would result in an annual increase in net income after tax of $105,000. The equipment will have an initial cost of $473,000 and have a 10 year life. If the salvage value of the equipment is estimated to be $84,000, what is the payback period?A. 10.00 yearsB. 5.25 yearsC. 4.50 yearsD. 3.29 years

Answers

Answer:

D. 3.29 years

Explanation:

Payback period = Initial cost / (An annual increase in net income after tax + Depreciation per year )

Payback period = $473,000 / [$105,000 + ($473,000-$84,000)/10]

Payback period = $473,000 / [$105,000+$38,900

Payback period = $473,000 / $143,900

Payback period = 3.28700

Payback period = 3.29 years

On January 2, 2005 Garr Company acquired machinery at a cost of $320,000. This machinery was being depreciated by the double-declining-balance method over an estimated useful life of eight years, with no residual value. At the beginning of 2007 it was decided to change to the straight-line method of depreciation. Ignoring income tax considerations, the retrospective effect of this accounting change is:__________.

Answers

Answer:

The depreciation charge will be lower in 2007 using straight line method compared to the one produced by double-declining-balance method

Explanation:

Double-declining-balance method

Depreciation Expense = 2 × SLDP × BVSLDP

Therefore,

SLDP = 100 ÷ number of useful life

         = 100 ÷ 8

         = 12.5 %

Calculation of Depreciation Expenses (DE)

2005

DE = 2 × 12.5 % × $320,000

     = $80,000

2006

DE = 2 × 12.5 % × ($320,000 - $80,000)

     = $60,000

2007

DE = 2 × 12.5% × ($320,000 - $80,000 - $60,000)

     = $45,000

Using Straight line Method for 2007 Depreciation Expense

Accumulated Depreciation (2005 to 2006) = $80,000 + $60,000

                                                                         = $ 140,000

Depreciable Amount = Cost - Accumulated Depreciation

                                   = $320,000 - $140,000

                                   = $180,000

DE = (Cost - Residual Value) ÷ Remaining Useful Life

     = $180,000 ÷ 6

     = $30,000

Conclusion :

Comparing 2007 Depreciation Expense using double-declining-balance method against straight-line method of depreciation we can see that straight-line method of depreciation produces lower results.

Which of the following parties to an option contract on a company's shares is obligated to buy shares at the option exercise price if the option is exercised? A. Call buyerB. Put sellerC. Put buyerD. Call seller

Answers

Answer:

Option B (Put seller) is the appropriate alternative.

Explanation:

Put seller relates to the practice including its opportunity to then be implemented. That whenever a put application is approved, this same writer typically takes the equality of opportunity at either the strike amount from the lengthy put grabber. Writing possibilities seems to be an opportunity for investors. That being said, the earnings from composing the given opportunity would be constrained to either the premium, although the put buyer could keep going to create revenue or gains until another inventory would be zero.

Some other three situations do not relate to either the type of situation in question. So there is one that is the appropriate one.

The parties that an option contract on a company's shares is obligated to buy shares at the option exercise price if the option is exercised include option B: Put Seller.

What is the term Put Seller about?

Put seller is defined as the seller relates to the practice including the equality of opportunity at either the strike amount from the lengthy put grabber.

Writing possibilities seems to be an opportunity for investors. The earnings from composing the given opportunity would be constrained to either the premium.

Therefore, correct option is B.

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Given the following information, analyze XYZ Company's liquidity. Year 2013 Total quick assets $30,000 Total current assets $40,000Total current liabilities $22,000 Acid-test ratio 1.36 Current ratio 1.82 Industry acid-test ratio 70 Industry current ratio 1.65 A. They are more liquid than others in their industry. B. They are less liquid than others in their industry. C. They have sufficient quick assets to pay off short-term debt if needed. D. They don't have sufficient liquid assets to pay off short-term debt if needed.

Answers

Answer:

A. They are more liquid than others in their industry. C. They have sufficient quick assets to pay off short-term debt if needed.

Explanation:

The Acid-test and current ratios are used to measure the liquidity of a company with higher figures meaning more liquidity. XYZ Company has a both a higher acid-test and current ratio so they are more liquid than others in their industry.

The Acid-test and current ratio also enable one to find out if a company is able to pay off its current obligations/ liabilities using current assets. With the acid-test ratio being above one, XYZ is able to pay off short-term debt using quick assets.

The reserve requirement is 20% and Leroy deposits his $1,000 check he received as a graduation gift in his checking account. The bank does NOT want to hold excess reserves. Which of the following is an accurate description of the bank's balance sheet immediately after the deposit?A. Reserves increase by $1000, and demand deposits increase by $1000.B. Reserves increase by $1000, and demand deposits decrease by $1000.C. Reserves decrease by $1000, and demand deposits decrease by $1000.D. Reserves decrease by $200, and demand deposits increase by $1000.

Answers

Answer:

A. Reserves increase by $1000, and demand deposits increase by $1000

Explanation:

Based on the information given the right description of the bank's balance sheet after the deposit is that the bank RESERVE will increase with the amount of $1,000 while the DEMAND DEPOSIT which is the deposit amount the customer can collect on demand on the other hand will as well increase with the amount of $1,000 reason been that the bank need RESERVE requirements because they need to have cash flow in their reserve in order to meet up with any liabilities that may arise due to customers withdrawal of fund.

A Kred score metric identifies with the ________ goal for social media metrics. Question 4 options: A) brand awareness B) conversion rate

Answers

Incomplete question. The Options;

a. user engagement

b. key performance indicator

c. web site traffic

d. conversion rate  

e. brand awareness

Answer:

e. brand awareness

Explanation:

Note, we are looking at the application of Kred score in business promotion using social media. Since brand influencers often use Kred to measure how much Influence they have, it rightly identifies with the goal for social media metrics.

By means of these metrics, For example, a smartphone company can easily track how many people have recently viewed their video ad of its new smartphone model.

Short Corporation acquired Hathaway, Inc., for $53,350,000. The fair value of all Hathaway's identifiable tangible and intangible assets was $50,000,000. Short will amortize any goodwill over the maximum number of years allowed. What is the annual amortization of goodwill for this acquisition

Answers

Answer:

$0

Explanation:

Based on the information given No annual amortization of goodwill for this acquisition based on the fact that GOODWILL as an asset will remain forever because they won't dilapidate or worn out which is why GOODWILL are not amortized and Secondly we cannot see or touch GOODWILL which is why they are called intangible asset .

Therefore the annual amortization of goodwill for this acquisition will be $0.

You write one IBM July 120 call contract for a premium of $10. You hold the option until the expiration date when IBM stock is at $123 per share. How much profit or loss you will realize on the investment

Answers

Answer:

The answer is loss of $7

Explanation:

For the buyer of call profit (long) =

Max[0,(St -Sx)] - P

where St is the underlying price of the security

Sx is the excercise price

P is the premium price paid

Max [0, ($123 - $120)] - $10 =

$3 - $10

Loss of $7

Raheem bought stock in a tech company that had just announced a dividend. He did not receive the dividend even though the record date had not yet passed when he purchased it. This is because he purchased the stock on or after the __________ date.

a. payment
b. ex-dividend
c. declaration
d. in-dividend

Answers

Answer:

b. ex-dividend

Explanation:

The dividend would only be paid to those investors who have purchased the stock prior to the ex-dividend date now if Raheem buy the stock on or after the ex-dividend rate so he would not be eligible for the dividend

Therefore as per the given situation, since he did not received the dividend this is because he purchased the stock on or after of ex-dividend date

Therefore the option b is correct

Milhouse is a franchisee of Krusty Burger, LLC Their contract gives Krusty Burger the right to control virtually all aspects of Milhouse’s op­eration, including the hiring of employees. One of the employees, Nelson commits a tort against Ralph, one of Milhouse’s customers. Ralph files a suit against Krusty Burger. Krusty Burger is most likely

Answers

Answer:

risks liability under the doctrine of respondeat superior.

Explanation:

A franchise is a seperate business that uses the parent business brand.

The parent company can give in addition to the brand support in training, provision of some inventory, hiring, and so on.

According to the contract signed between them Krusty burger controls all aspects of the Milhouse operations, so they are a respondeat superior.

This means they are responsible for the actions of Milhouse because of their level of involvement in the franchise operations.

In the given scenario Nelson commits a tort against Ralph, one of Milhouse’s customers. Ralph files a suit against Krusty Burger.

Krusty burger will be liable because they are a respondeat superior

If the dividend yield for year 1 is expected to be 5% based on a stock price of $25, what will the year 4 dividend be if dividends grow annually at a constant rate of 6%

Answers

Answer:

$1.33

Explanation:

Calculation for what will the year 4 dividend be

Using this formula

Year 4 dividend=[(Expected dividend yield×Stock price)×(1+Constant rate )]

Let plug in the formula

Year 4 dividend = [(.05 × $25) × (1+0.06)]

Year 4 dividend=(.05 × $25) × 1.06

Year 4 dividend=1.25×1.06

Year 4 dividend= $1.33

Therefore what will the year 4 dividend be if dividends grow annually at a constant rate of 6% is $1.33

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A driver who is convicted of DWI will lose his or her driving privileges for at least ________ for a third offense. Rob is saving to buy a new iPad. For every $15 he earns babysitting, he saves $6. On Saturday, Rob earned $75 babysitting. How much money did he save? Can someone help pleasee! BUZZ, BUZZ! Oh, what terrible timing. Tom was in the middle of setting up an experiment in lab when his phone indicated that he had a voicemail from his 3-year-old's preschool. He finished up his immediate task and checked his messages. The preschool teacher was calling to let him know that his son, Theo, had a fever of 101.7F and that he didn't seem to be feeling well and needed to be picked up early. Tom sighed and said he would be right there. He went back into lab, diluted back his bacterial culture, put it in the incubator, and decided to do the experiment tomorrow. When he drove to preschool and picked up Theo, he noticed Theo was lethargic and sad. Tom knew that kids get all sorts of random illnesses, so he took Theo home to see if he could figure out if anything else was wrong. Because Theo was 3 years old, he was able to tell his Dad that his throat hurt a lot as he kept rubbing his throat. Theo didn't seem any to be getting any worse, so everyone went to bed. In the middle of the night, Theo wakes up to vomit (repeatedly) and complains of stomach pain.Tuesday, March 7, 2017After a night of not very much sleep, Tom checked Theo's temperature again and saw that it was still high. Now he saw that Theo's cheeks were flushed and there was a rash consisting of pink, slightly raised bumps (no pustules) covering his cheeks, chest, and back. Tom placed a call to the pediatrician to set up an appointment for later that morning.Required:a. What disease is the boy likely suffering from? Explain your diagnosis.b. Name and describe the pathogen that causes this disease.c. Because Theo is going to be taken to the doctor, is it likely to the fatal? What if the year was 1900? Why?d. Explain what is causing the rash.e. If the boy was infected with the same pathogen and had the same signs and symptoms, but did not present with a rash, what would the disease diagnosis be?f. What treatment would the doctor prescribe? Name one example and describe the mechanism of actiong. The boy was given a prescription and started having diarrhea. Is this normal? Why or why not? Read this example.Martin is assigned an argumentative essay. The prompt says, "Write an argumentative essay that takes a position on whether students should have to pass a test to graduate from high school."Martin develops this claim: "If students have passed all their classes and tests in those classes, it is not fair to make them also pass a test to graduate from high school."Which answer choice best describes Martins claim?Martins claim does not take a position.Martins claim is based more on emotion than reasoning.Martins claim does not respond to the prompt.Martins claim is good because it appropriately responds to the prompt. what is computer system? What event provided an opportunity for colonies across the world to demand independence? the density of a population increase if the1)birth rate is high and birth rate is low2)birth rate is high and death rate is low3)birth rate is low and death rate is high4)birth rate is low and death rate is low -4n + 1/3m + 4n - 4/5m which of the following rational function is graphed below? What is the value of x? 1- When you translate a figure right or left, it changes the value of which coordinate, the x or the y? 2- When you translate a figure up or down, it changes the value of which coordinate, the x or the y? 3- When reflecting the point (-5, 3) over the x-axis, what are the coordinates of the new location? 4- When reflecting the point (7, -2) over the y-axis, what are the coordinates of the new location? What are some of the more significant limitations of mathematical models as imitators/predictors of natural phenomena WARNING JESUSIS COMINGCOPY AND PASTE THISDO MORE CAN SEE THISSHARE THE GOSPELJESUS IS KING What is the area of a right triangle 6 centimetershigh with a base of 2 centimeters? 18. After his doctor's appointment in Albany, Tyler and Chuckie decided to A. go to a pro wrestling match. B. catch a baseball game. c. see a movie. D. go betting at the race track. If a person does not practice reading dictionary entries he or she will not learn the basic technical skills necessary for good comprehension Please help me! I really need this, it could determine whether I fail or not.So I have this essay that's due in two days, all I want is a good rough draft of it. It's about "Public Schools vs Private Schools". I will give BRAINLIEST to the person who helped the most.I already made a rough draft to help but it isn't that good- Private School vs Public School A lot of people wonder, is private school better than public school?Most public schools are paid for by local taxes. Private schools can range from anywhere from $7,000 to $25,180 per year. This is a lot of money but because they spend more money, private schools give students more opportunities and can really benefit in the long run.I believe private schools are a better choice than public schools because private school students have better test scores, classes are more focused on the students goals, and private schools have a better diversity than public schools. A recent recap of high school graduates showed private school students scoring 3.1 points higher on the ACT test. Another comparison on math tests showed that private school students scored on average 18 points higher for eighth grade, and only 8 points higher for fourth grade. This supports my opinion because it talks about how the average private school student can score higher than a public school student which looks very good on a college application. Private school are not under state supervision, that means that private schools can offer curriculums that are more of the students focus. For students that want to study art or theater private school is more recommended. As the article states Due to ever-changing budgets and mandated testing, public schools are more focused on the core classes, often at the expense of more peripheral subjects. If a student wanted to become someone in the entertainment business then they would prefer private school because thats where they can focus more on theater production than public schools. From the article, it states that Numerous studies have shown that private schools, on the whole, offer a more positive peer environment. The students have a better understanding of the topic because they can have one on one peer help. Because the classes are smaller than the average public school classroom the students can better benefit and learn better with their peers. In conclusion, I think private school is better than public because it can offer smaller class sizes, more individual attention, and a better understanding of how each student prefers to learn.Yeah I know this is a lot, but please, I'm begging you, please help. HELP Please dont answer if you dont know it. Solve the equation below for x.cx- 4 = 7A. x=11/cB. x=c/3C. x=3/cD. x= c/11