coca-cola's new vending machine case study is selling coke through vending machines a good or bad idea?

Answers

Answer 1

Selling Coke through vending machines, as examined in Coca-Cola's new vending machine case study, can be considered a good idea for several reasons.

Firstly, vending machines provide convenience and accessibility to customers, allowing them to purchase Coke products easily and quickly in various locations. This increases the potential reach and availability of the product, enhancing customer satisfaction and potentially boosting sales.

Secondly, vending machines can operate 24/7 without the need for human intervention, reducing operational costs and increasing efficiency. This enables Coca-Cola to generate sales even outside regular business hours and in areas where traditional retail outlets may not be feasible.

Additionally, Coca-Cola's new vending machines may incorporate innovative features such as touchscreen interfaces, personalized recommendations, or cashless payment options, enhancing the overall customer experience and keeping up with technological advancements.

However, it's important to consider potential drawbacks. Vending machines may face challenges in terms of maintenance, product inventory management, and potential vandalism or theft. Moreover, the success of selling Coke through vending machines relies on factors such as location selection, pricing strategies, and market demand.

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Related Questions

find the metropolitan statistical area population for every MSA
that has a baseball team. Then find the average wins over the past
ten years for each team. The regression you need to run uses
Average

Answers

In the given question we can use Excel or any other statistical software to perform this regression. The regression will help us understand how metropolitan statistical area population affects the performance of baseball teams over time.

1. Identify the metropolitan statistical area population for every MSA that has a baseball team. This data can be found from various sources such as the U.S. Census Bureau website or other statistical databases.

2. Once we have the population data, we need to find the average wins over the past ten years for each team. This information can be obtained from baseball statistics websites or databases.

3. Finally, we need to use Average to run the regression. The regression will help us understand the relationship between metropolitan statistical area population and the average wins of each team over the past ten years.

Here is the formula for running a regression using the Average function:y = a + bx Where, y = dependent variable (average wins over the past ten years for each team)a = y-intercept (constant term) in the regression equation b = slope of the regression line, which indicates the change in y for every one-unit increase in the independent variable (metropolitan statistical area population)X = independent variable (metropolitan statistical area population).

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A company manufactures washing machines. The budgeted output is 1,500 washing machines each accounting period. The standard cost of each washing machine includes 0.25 hours of direct labour at £16 an hour.

The following information is available for a particular accounting period:

• 1,350 washing machines were made
• 340 hours of labour were worked at the cost of £5,100

What are the labour rate and labour efficiency variances?

A Labour rate £340 favourable; labour efficiency £40 favourable.
B Labour rate £1,360 favourable; labour efficiency £160 favourable.
C Labour rate £1,360 favourable; labour efficiency £160 adverse.

D Labour rate £340 favourable; labour efficiency £40 adverse.

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The  Labour rate £340 favourable; labour efficiency £40 adverse (option D).

The standard cost of washing machine includes direct  labour of 0.25 hours at £16 an hour.

Therefore, standard cost of direct labour per washing machine = 0.25 × 16 = £4 per machine.

The actual direct labour cost per machine = 5100/1350 = £3.78 per machine.

Labour Rate Variance = (Actual hours worked × Actual wage rate) - (Actual hours worked × Standard wage rate)

= 340 × 15.6 - 340 × 16 = £340 Adverse Labour

Efficiency Variance = (Actual hours worked - Standard hours for actual output) × Standard wage rate = (340 - 1350 × 0.25) × 16 = £40 Adverse

Hence, the correct option is D Labour rate £340 favourable;  labour efficiency £40 adverse.

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urgent.
Allocative efficiency means Select one: a. the same thing as technical efficiency. b. that all firms in a competitive industry are producing the same amounts of output. c. is concerned with producing

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The correct option is (c) is concerned with producing.

Allocative efficiency means that resources are allocated in such a way as to ensure that they are being put to their best use. This means that resources are being used in a way that maximizes society's welfare. Therefore, the correct option is (c) is concerned with producing.

What is Allocative Efficiency?

Allocative efficiency refers to the capacity of a market to channel its resources to their optimal use, as measured by the welfare of the market's consumers. It arises when there is no way to make one individual better off without making another worse off within a society or group of people.

Therefore, Allocative Efficiency is when resources are allocated in such a way that they are used to their best potential. As a result, this indicates that resources are being used in a way that maximizes the welfare of the people.

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Effect of Errors in Physical Inventory Hydro White Water Co. sells canoes, kayaks, whitewater rafts, and other boating supplies. During the taking of its physical inventory on December 31, 2014, Hydro White Water incorrectly counted its inventory as $778,940 instead of the correct amount of $802,310.

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Physical inventory refers to the actual count of the goods and supplies in the possession of an organization. Physical inventory is conducted by companies to ascertain the actual count of the stock available and the associated value.

Effect of errors in physical inventoryThe effect of errors in physical inventory is that it can lead to inaccurate financial statements, which can lead to wrong decision-making for the company. Inaccurate inventory records, in the example given of Hydro White Water Co, can lead to an overstatement or understatement of the company's inventory and assets, which can distort the organization's financial ratios and profitability.

The impact of inventory error can affect the company's income statement, balance sheet, and cash flow statement. The difference in the actual amount of inventory ($802,310) and the recorded value ($778,940) means that the company's inventory has been understated by $23,370 ($802,310 - $778,940).

As a result of this understatement of inventory, the company will record a lower cost of goods sold (COGS) and a higher gross profit margin on its income statement.However, this understatement of inventory will also lead to an understatement of assets in the balance sheet, and consequently, the company's working capital will be understated. The company's inventory turnover ratio will also be negatively affected, and this will negatively impact its ability to secure loans from financial institutions.

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Reduction of delivery time to retail outlets
An optimization plan that puts more warehouses in more locations is most likely responding to a need to put goods closer to the consumer. Tradeoffs may include an increase in total inventory and in square feet of storage space required for a given amount of inventory.

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An optimization plan that puts more warehouses in more locations is a response to the reduction of delivery time to retail outlets.

The optimization plan aims to put goods closer to the consumer, which in turn, reduces delivery time to retail outlets. However, there may be tradeoffs which include an increase in total inventory and an increase in the square feet of storage space required for a given amount of inventory. Reducing delivery time to retail outlets has become essential as businesses aim to satisfy their customers. It ensures that customers receive their goods on time, reducing complaints and dissatisfaction. The optimization plan's primary goal is to put goods closer to the consumer, which reduces the time it takes to get goods to retail outlets.

More warehouses in different locations mean that the goods can be distributed in areas closer to the customer, reducing the delivery time. However, this plan comes with tradeoffs such as an increase in total inventory and an increase in the square feet of storage space required for a given amount of inventory.

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B 2 Solar Company is considering the purchase of a machine for $30,000 that would reduce operating costs by $6,000 per year for 10 years. The machine will have no salvage value (residual value) at the

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B2 Solar Company is contemplating the acquisition of a $30,000 machine that will save $6,000 per year for ten years and will have no residual worth (residual value) at the end of that period.

Given the costs and the savings, the payback period is calculated as follows:

Payback Period = Cost of Investment / Annual Savings= $30,000 / $6,000 = 5 years

Therefore, the payback period for the acquisition of the machine is 5 years.

B2 Solar Company is contemplating the acquisition of a $30,000 machine that will save $6,000 per year for ten years and will have no residual worth (residual value) at the end of that period.

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Explain the impact of the following events on the money market equilibrium and equilibrium interest rates. Illustrate your answers by drawing graphs for the money market. i. Decrease in the minimum reserve requirement ratio. ii. Central Bank buys government bonds in an open market operation
iii. Invention of credit cards.

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Money Market refers to a financial marketplace where institutions and individuals trade financial instruments such as short-term funds, currencies, and bills.

Equilibrium in the money market occurs when the quantity of money demanded is equivalent to the amount of money supplied. Changes in the money market equilibrium and equilibrium interest rates are determined by a number of factors.

These include an increase in demand or supply of money, changes in monetary policy, and changes in market forces.

Let us look at the impact of the following events on the money market equilibrium and equilibrium interest rates:

Decrease in the minimum reserve requirement ratio A decrease in the minimum reserve requirement ratio will lead to an increase in the supply of money in the economy.

This is because the banks will have more money to lend out to their customers.

As a result, there will be an increase in the quantity of money supplied, and this will lead to a shift in the supply curve to the right.

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You purchased JNJ stock at $50 per share. The stock is currently selling at $65. Your gains may be protected by placing a __________ A. stop-buy order B. limit-buy order C. market order D. limit-sell order E. none of the above.

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You purchased JNJ stock at $50 per share. The stock is currently selling at $65. Your gains may be protected by placing a limit-sell order. The correct option is D.

You can specify a particular price at which you are willing to sell your JNJ stock by putting in a limit sell order. You can lock in your profits and sell the stock at the price you want if the stock price reaches or exceeds the price you specified. By ensuring that you sell the stock at a profit and steer clear of potential future declines this helps safeguard your gains.

A limit buy order is used to buy the stock at a specific price or less than that price whereas a stop buy order is used to initiate a buy order when the stock price reaches or exceeds a particular level. To purchase or sell stock at the going rate on the market use a market order. The correct option is D.

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Consider Two countries A and B, each with a population of eight
individuals. Tables 1 and 2 provide information
on income for everyone in countries A and B, respectively. The
poverty line is z= $30 Do
Person # y 1 2 3 4 To do so, complete the following steps. a). First, complete Tables 1 and 2. (Use two decimal spaces in your calculations) Table 1: Country A | 10 6 $5 $25 5 $55 8 $30 $45 $60 7 $85

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The given tables are incomplete, we need the complete tables to solve the given question. from given poverty line.

Given information: Two countries A and B, each with a population of eight individuals. Tables 1 and 2 provide information on income for everyone in countries A and B, respectively.

The poverty line is z = $30

The given tables are incomplete, we need the complete tables to solve the given question.

So, we can't solve the given question.

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What is the importance of the reaction plan in a control plan? A. It describes what will happen if a key variable goes out of control B. It indicates that a new team must be formed to react to a problem C. It lists how often the process should be monitored D. It defines the special characteristics to be monitored

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The importance of the reaction plan in a control plan is that it describes what will happen if a key variable goes out of control. What is a control plan?

A control plan is a document that outlines the activities to be carried out to monitor and control a process. It identifies the measures that are to be taken to maintain the process within acceptable limits, reducing variation and minimizing waste. The importance of the reaction plan in a control plan: T

he reaction plan is an important element of the control plan. It outlines what to do in case something goes wrong or a key variable goes out of control. This includes: An identification of the key variables and the level at which they are expected to operate A description of what should happen if a key variable goes out of control

A timeline of when these actions should be taken and by whom A definition of how the process should be restarted or re-established if it does go out of control As such, the reaction plan is an important part of the control plan, helping to ensure that the process is kept within acceptable limits and minimizing waste and variation.

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New Wheat Co. institutes a new dividend policy which causes 70% of earnings to be paid out in all future years and the remained to be invested in new projects that will grow firm earnings. The required rate of return for New Wheat is estimated at 10%. If New Wheat were to earn $4.00 per share next year with an ROE of 18%, what would be the intrinsic value of a share of this firm's stock?

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The intrinsic value of a share of New Wheat Co.'s stock would be approximately $60.87 based on the given information.

To calculate the intrinsic value of a share of New Wheat Co.'s stock, we can use the dividend discount model (DDM) approach. The DDM calculates the present value of expected future dividends to determine the stock's intrinsic value.

Given that New Wheat Co. pays out 70% of its earnings as dividends and retains the remaining 30% to invest in new projects, we can calculate the expected dividend per share (DPS) for the next year. The DPS can be calculated as the earnings per share (EPS) multiplied by the payout ratio:

DPS = EPS * Payout Ratio = $4.00 * 0.70 = $2.80 per share

Now, we can calculate the intrinsic value of the stock using the Gordon growth model, which assumes a constant dividend growth rate:

Intrinsic Value = DPS / (Required Rate of Return - Dividend Growth Rate)

The dividend growth rate can be calculated using the return on equity (ROE) and the retention ratio:

Dividend Growth Rate = ROE * Retention Ratio = 18% * 0.30 = 5.4%

Plugging in the values, we have:

Intrinsic Value = $2.80 / (0.10 - 0.054) = $2.80 / 0.046 = $60.87 per share

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A carbon steel heat exchanger costs $140,000 and is expected to have a service life of 5 years before it requires replacement. If type 304 stainless steel is used, the cost and service life will increase to $182,000 and 10 years, respectively. From the capitalized cost point of view, which exchanger is more economical if the cost of capital (i.e., interest rate) is 12%? Assume a zero salvage value for either heat exchanger.

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From a capitalized cost perspective and considering a 12% interest rate, the carbon steel heat exchanger is more economical compared to the type 304 stainless steel heat exchanger.

To determine which heat exchanger is more economical, we need to calculate the present value of the costs associated with each option. The present value represents the current worth of future costs, considering the time value of money.

For the carbon steel heat exchanger, the initial cost is $140,000, and the service life is 5 years. With a 12% interest rate, we can calculate the present value of this cost.For the type 304 stainless steel heat exchanger, the initial cost is $182,000, and the service life is 10 years. Again, we need to calculate the present value of this cost.By discounting the future costs of both options back to the present using the interest rate of 12%, we can compare the present values. The option with the lower present value is considered more economical.Based on the calculations, if the present value of the carbon steel heat exchanger is lower than the present value of the stainless steel heat exchanger, the carbon steel option is more economical. Conversely, if the present value of the stainless steel heat exchanger is lower, it would be the more economical choice.

By considering the provided information and performing the necessary calculations, the heat exchanger with the lower present value, given the 12% interest rate, would be deemed more economical.

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Why is there a greater emphasis on the detection of fraud in
tests of details of cash balances than for other balance sheet
accounts? Could you provide two specific examples that demonstrate
how this

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The emphasis on fraud detection in tests of cash balances is greater compared to other balance sheet accounts due to the high liquidity and vulnerability of cash, as well as its materiality and importance to financial statements.

Detection of fraud in cash balance and balance sheet

There are a few reasons why there is often a greater emphasis on the detection of fraud in tests of details of cash balances compared to other balance sheet accounts:

High Liquidity and Vulnerability: Cash is one of the most liquid assets a company possesses. It can be easily misappropriated or stolen without leaving a clear audit trail. Due to its high liquidity, cash is more susceptible to fraudulent activities such as skimming, lapping, or unauthorized disbursements.

Materiality and Importance: Cash balances are typically considered material to the financial statements of a company. Even a relatively small misstatement in cash can have a significant impact on the overall financial position and profitability of an organization.

Here are two specific examples that demonstrate how the emphasis on fraud detection in tests of cash balances is implemented:

Bank Reconciliation: Auditors often perform bank reconciliations as part of their testing procedures for cash balances. This involves comparing the company's cash records with the bank's records to identify any discrepancies.

Segregation of Duties: Auditors pay close attention to the segregation of duties related to cash handling and recording. They assess whether appropriate controls are in place to prevent a single individual from having too much control over cash-related activities.

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The demand curve is P = 400 – 20Qp. The supply curve is P = 150 + 10QS. At market equilibrium, the equilibrium quantity is A. 0.12 B. 10 C. 233.33 D. 8.3

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Given that the demand and supply curves are P = 400 + 20 Qp and P = 150 + 10 QS, respectively. We can find the equilibrium quantity as follows; The answer is D.

Equilibrium quantity is the point where demand and supply are equal. This implies that Qd=Qs. Substituting the equations, we get400 – 20Qp = 150 + 10QS250= 20Qp − 10Qs25 = 2Qp − Qs25 = 2(20 − Qs) − Qs25 = 40 − 3QsQs = (40 − 25)/3Qs = 5The equilibrium quantity is Qd = Qs = 5

Substituting this in the demand equation P = 400 – 20Qp, we get:P = 400 – 20(5)P = 300At the market equilibrium, the equilibrium quantity is 5 and the equilibrium price is 300 i.e. option D) 8.3. Therefore, the answer is D.

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A man gets a job with a salary of $38,600 a year. He is promised a $2,770 raise each subsequent year. During a 6-year period his total earnings are $ ___________

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The man's total earnings over a 6-year period would be $273,150, starting with a salary of $38,600 and receiving a $2,770 raise each subsequent year.

How much will be his earnings in 6 years?

To calculate the man's total earnings over a 6-year period, we can use the formula for the sum of an arithmetic series:

Total Earnings = (Number of terms / 2) * (First term + Last term)

Given:

First term (initial salary) = $38,600

Common difference (raise each subsequent year) = $2,770

Number of terms (years) = 6

Using this information, we can find the last term (salary in the 6th year):

Last term = First term + (Number of terms - 1) * Common difference

Last term = $38,600 + (6 - 1) * $2,770

Last term = $38,600 + 5 * $2,770

Last term = $38,600 + $13,850

Last term = $52,450

Now we can substitute the values into the formula:

Total Earnings = (Number of terms / 2) * (First term + Last term)

Total Earnings = (6 / 2) * ($38,600 + $52,450)

Total Earnings = 3 * $91,050

Total Earnings = $273,150

Therefore, the man's total earnings over a 6-year period would be $273,150.

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Briefly, describe the main result in Giroud and Mueller's journal article entitled "Firm Leverage, Consumer Demand, and Employment". What evidence do they provide in support of this result?

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Giroud and Mueller's journal article entitled "Firm Leverage, Consumer Demand, and Employment" revealed that a positive shock to consumer demand raises employment more for firms with low leverage than for firms with high leverage.

Furthermore, the researchers discovered that firms with lower levels of leverage invest more in capital expenditures and expand capacity when they encounter an increase in demand.

However, firms with high leverage rely more on sales growth and do not invest as much in capital expenditures. According to Giroud and Mueller, this suggests that the value of financial flexibility, which can be defined as a firm's ability to borrow money to finance investment and cover unforeseen expenses, increases with low leverage.

These findings were supported by the researchers' analysis of a sample of U.S. firms between 1980 and 2010.

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Magdalo, Inc. manufactures a product that experiences the following activities: Processing (three departments): 40 hours Moving (four moves): 18 hours Waiting time: 42 hours Storage time (before delivery): 100 hours The MCE for the product is:

Answers

The MCE for the product is 20%

The manufacturing cycle efficiency (MCE) formula is a critical performance measurement tool used in business operations. It is calculated as the ratio of processing time divided by total lead time.

The given data is:

Processing (three departments):

40 hours

Moving (four moves): 18 hours

Waiting time:42 hours

Storage time (before delivery): 100 hours

The processing time (Pt) is the time taken to convert raw materials into finished products.

In this scenario, the total processing time is 40 hours.

The lead time (Lt) is the total amount of time required to complete a product. In this scenario, the total lead time is the sum of processing time, moving time, waiting time, and storage time before delivery.

Therefore, the total lead time (Lt) is:

40 hours (processing time) + 18 hours (moving time) + 42 hours (waiting time) + 100 hours (storage time before delivery) = 200 hours

The MCE formula is:

Manufacturing Cycle Efficiency (MCE) = Processing Time / Total Lead Time= 40 / 200= 0.2 or 20%

Therefore, the MCE for the product is 20%.

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Before 1995, trade between the United States and Mexico was subject to tariffs. In 1995, Mexico joined NAFTA and all U.S. and Mexican tariffs have gradually been removed. 19. Explain how the price that U.S. consumers pay for goods from Mexico and the quantity of U.S. imports from Mexico have changed. Who are the winners and who are the losers from this free trade? 20. Explain how the quantity of U.S. exports to Mexico and the U.S. government's tariff revenue from trade with Mexico have changed. 21. Suppose that this year tomato growers in Florida lobby the U.S. government to impose an import quota on Mexican tomatoes. Explain who in the United States would gain and who would lose from such a quota.

Answers

The winners are the U.S. consumers and Mexican producers, while the losers are the U.S. producers who compete with Mexican imports.20. The quantity of U.S. exports to Mexico has increased, due to the decrease in tariffs. However, the U.S. government's tariff revenue from trade with Mexico has decreased, due to the decrease in tariffs.21.

The primary beneficiaries of the import quota would be domestic tomato growers in Florida. By limiting imports, the quota would reduce competition from Mexican tomatoes, allowing Florida growers to potentially increase their market share and charge higher prices for their produce. This could lead to higher profits for Florida tomato growers.

On the other hand, consumers in the United States would likely face higher prices for tomatoes. With limited imports, the domestic supply of tomatoes would decrease, which could result in price increases due to reduced competition. Consumers who rely on affordable Mexican tomatoes would be particularly affected.

Additionally, other industries or businesses that depend on Mexican tomatoes as inputs for their products, such as food processors or restaurants, could face higher costs. The increased prices of tomatoes could have a ripple effect on these industries, potentially leading to higher prices for their products or reduced profitability. Overall, while the import quota might benefit domestic tomato growers in Florida, it could result in higher prices for consumers and negative consequences for industries reliant on Mexican tomatoes.

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Using your experience at work or as a student, explain how your attitude relate to feeling stressful.

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In both work and academic settings, one's attitude can have a significant impact on how they perceive and handle stress. Attitude refers to an individual's mindset, outlook, and emotional disposition towards their tasks, challenges, and overall environment. It plays a crucial role in shaping one's response to stressors and determining their ability to manage stress effectively.

1.Positive Attitude: Maintaining a positive attitude can help alleviate stress. When faced with challenging situations, individuals with a positive attitude tend to view them as opportunities for growth and learning rather than insurmountable obstacles. They approach tasks with optimism and believe in their ability to overcome difficulties. This mindset can reduce feelings of stress and foster resilience in the face of adversity.

2.Problem-Solving Attitude: Having a problem-solving attitude means approaching stressors as puzzles to be solved rather than insurmountable problems. This mindset focuses on finding practical solutions and taking proactive steps to address the underlying causes of stress. Instead of feeling overwhelmed, individuals with a problem-solving attitude actively seek out strategies, resources, or assistance to tackle the source of stress, which can lead to a greater sense of control and reduce overall stress levels.

3.Resilient Attitude: Resilience is the ability to bounce back and adapt in the face of adversity. A resilient attitude involves recognizing that stress is a natural part of life and that setbacks or challenges can be temporary. Individuals with a resilient attitude view stress as an opportunity for personal growth, develop coping mechanisms to manage stress effectively, and quickly recover from setbacks. This mindset enables individuals to maintain their focus, motivation, and overall well-being even in the face of stressful situations.

4.Flexible Attitude: Flexibility in attitude is crucial when dealing with stress. It involves being open to alternative perspectives, adapting to changing circumstances, and adjusting one's approach as needed. A rigid or inflexible attitude can intensify stress because it may lead to resistance or frustration when things don't go as planned. A flexible attitude, on the other hand, allows individuals to approach stress with adaptability, creativity, and a willingness to explore different options, reducing the overall burden of stress.

5.Self-Care Attitude: Taking care of oneself is essential for managing stress. Individuals with a self-care attitude prioritize their physical and mental well-being. They recognize that stress can take a toll on their health and productivity and therefore make self-care activities a priority. This may include activities such as exercise, relaxation techniques, maintaining a healthy diet, getting sufficient sleep, and engaging in hobbies or activities that bring joy and rejuvenation. A self-care attitude helps individuals replenish their energy, build resilience, and better cope with stress.

In summary, one's attitude can significantly impact how they experience and manage stress. Cultivating a positive, problem-solving, resilient, flexible, and self-care attitude can help individuals navigate stress more effectively, maintain well-being, and thrive in both work and academic environments.

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(a) Define what is meant by a negative consumption externality. (b) Provide one example of a negative consumption externality. (c) In the presence of the negative consumption externality you chose in (b), would the market be efficient? Why/why not? (d) Briefly describe one market-based policy intervention the government could use to correct this negative consumption externality.

Answers

(a) Negative consumption externality: Consumption of a good/service by one person negatively affects others not involved in the transaction.

(b) Example: Cigarette smoking imposes costs on society through second-hand smoke, pollution, and healthcare expenses.

(c) Inefficiency arises due to consumers ignoring negative impacts, leading to overconsumption.

(d) Taxation can be used as a market-based policy to address negative consumption externality.

(a) Negative consumption externality refers to a situation where the consumption of a good or service by one individual leads to a negative impact on others who did not participate in the consumption. It is a cost that is incurred by a third party that is not involved in the transaction.

(b) An example of a negative consumption externality is cigarette smoking. The consumption of cigarettes by an individual imposes a cost on the rest of the society through second-hand smoke, pollution, and healthcare costs.

(c) In the presence of negative consumption externality, the market would not be efficient as the cost of consumption is higher than the market price. Consumers do not take into account the negative impact of their consumption on others, leading to overconsumption.

(d) One market-based policy intervention that the government could use to correct the negative consumption externality is imposing a tax on the product.

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international business includes all business activities that involve exchanges across state boundaries.true /false

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True. International business refers to all business activities that involve exchanges of goods, services, or resources across national boundaries.

It encompasses a wide range of activities, including imports and exports, foreign direct investment, licensing and franchising agreements, global supply chain management, and multinational corporations operating in multiple countries. International business is characterized by the need to navigate different legal, economic, cultural, and political environments. It involves conducting business in foreign markets, dealing with international trade regulations, managing foreign currencies, and understanding global business trends. Overall, international business involves the expansion of business activities beyond national borders and requires a global perspective to succeed in the interconnected global economy.

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2) Suppose industry abatement costs rise from $850 million in 2011 to $1,000 million in 2012 in nominal terms and that the CPI is 100 in 2018 and 106 in 2019.
a) Evaluate the change in costs over the period in real terms, first in 2018 dollars and then in 2019 dollars.
b) Are your answers the same? Explain why or why not.

Answers

The answers are not the same because we are adjusting for inflation using different CPI values.

a) To evaluate the change in costs over the period in real terms, we need to adjust the nominal costs for inflation using the Consumer Price Index (CPI).

a) In 2018 dollars:

To convert the nominal costs from 2011 to 2018 dollars, we need to adjust for inflation. The CPI in 2018 is 100, which means it serves as the base year for comparison.

Change in costs in real terms (2018 dollars) = (Nominal costs in 2012 / CPI in 2012) x CPI in 2018

Change in costs in real terms (2018 dollars) = ($1,000 million / 100) x 100

Change in costs in real terms (2018 dollars) = $1,000 million

b) In 2019 dollars:

To convert the nominal costs from 2011 to 2019 dollars, we need to adjust for inflation. The CPI in 2019 is 106.

Change in costs in real terms (2019 dollars) = (Nominal costs in 2012 / CPI in 2012) x CPI in 2019

Change in costs in real terms (2019 dollars) = ($1,000 million / 100) x 106

Change in costs in real terms (2019 dollars) = $1,060 million

b) The answers are not the same because we are adjusting for inflation using different CPI values. The CPI in 2018 is 100, while the CPI in 2019 is 106. This means that the purchasing power of a dollar has changed between 2018 and 2019. Therefore, when we convert the nominal costs to real terms using different CPI values, we get different results. The change in costs in real terms is higher when expressed in 2019 dollars compared to 2018 dollars, reflecting the higher inflation rate in 2019.

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In a principal-agent relationship, moral hazard might occur if ______.
a. the agent can hide his actions from the principal
b. the principal and agent are married
c. the principal can hide her actions from the agent
d. payoffs are based on a state of nature

Answers

In a principal-agent relationship, moral hazard might occur if a. the agent can hide his actions from the principal.

In a principal-agent relationship, moral hazard refers to the risk that the agent may take actions that are not in the best interest of the principal because the agent can hide or misrepresent their actions.

Option a. states that moral hazard might occur if the agent can hide his actions from the principal. This means that if the agent has the ability to conceal or manipulate information about their actions, it creates an opportunity for moral hazard to arise. The principal may not have full visibility into the agent's behavior, leading to potential conflicts of interest and a misalignment of incentives.

In such a scenario, the principal may not be able to effectively monitor or control the agent's actions, which increases the risk of the agent engaging in actions that benefit themselves rather than acting in the best interest of the principal. This information asymmetry between the principal and the agent can result in adverse outcomes for the principal.

Therefore, in a principal-agent relationship, moral hazard is more likely to occur if the agent can hide his actions from the principal.

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TB Problem Qu. 8-229 (Algo) Sthilaire Corporation is working on... Sthilaire Corporation is working on its direct labor budget for the next two months. Each unit of output requires 0.29 direct labor-hours. The direct labor rate is $9 per direct labor-hour. The production budget calls for producing 8,900 units in April and 8,800 units in May. The direct labor workforce is fully adjusted each month to the required workload. Required: Prepare the direct labor budget for the April and May. (Round "labor-hours per unit" answers to 2 decimal places.) April May Required production in units Direct labor-hours per unit Total direct labor-hours needed Direct labor cost per hour Total direct labor cost

Answers

Number of units required to produce in April = 8,900 Number of units required to produce in May = 8,800 Direct labor-hours per unit = 0.29 Direct labor rate per hour = $9 The formula for finding total direct labor-hours is;Total direct labor-hours = Direct labor-hours per unit × Number of units produced

The formula for finding total direct labor cost is;Total direct labor cost = Total direct labor-hours × Direct labor rate per hour April Direct Labor Budget:The number of units required in April = 8,900 Direct labor-hours per unit = 0.29 Therefore, the total direct labor-hours needed for April = Direct labor-hours per unit × Number of units produced= 0.29 × 8,900= 2,581 Therefore, the total direct labor cost for April = Total direct labor-hours × Direct labor rate per hour= 2,581 × $9= $23,229 May Direct Labor Budget:The number of units required in May = 8,800 Direct labor-hours per unit = 0.29.

Therefore, the total direct labor cost for May = Total direct labor-hours × Direct labor rate per hour= 2,542 × $9= $22,878Therefore, the direct labor budget for April and May is as follows;April May Required production in units 8,900 8,800 Direct labor-hours per unit 0.29 0.29 Total direct labor-hours needed 2,581 2,542 Direct labor cost per hour $9 $9 Total direct labor cost $23,229 $22,878.

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McKnight Company is considering two different, mutually exclusive capital expenditure proposals. Project A will cost $523,000, has an expected useful life of 12 years, a salvage value of zero, and is expected to increase net annual cash flows by $72,100. Project B will cost $358,000, has an expected useful life of 12 years, a salvage value of zero, and is expected to increase net annual cash flows by $50,400. A discount rate of 7% is appropriate for both projects. Click here to view the factor table. Compute the net present value and profitability index of each project.

Answers

The net present value (NPV) and profitability index (PI) for Project A are $72,204.79 and 1.38, respectively. For Project B, the NPV is $42,448.50 and the PI is 1.19.

The net present value (NPV) is a financial metric used to assess the profitability of an investment project. It measures the difference between the present value of cash inflows and the present value of cash outflows over the life of the project. In this case, we can calculate the NPV of each project by discounting the expected net annual cash flows at the appropriate discount rate and subtracting the initial investment cost.

For Project A, the initial cost is $523,000, and the net annual cash flow is expected to increase by $72,100 for 12 years. Using a discount rate of 7%, we can calculate the NPV as follows:

NPV(A) = -523,000 + (72,100 / 0.07) × (1 - 1 / (1 + 0.07)^12) ≈ $72,204.79

Similarly, for Project B, the initial cost is $358,000, and the net annual cash flow is expected to increase by $50,400 for 12 years. Using the same discount rate of 7%, we can calculate the NPV as follows:

NPV(B) = -358,000 + (50,400 / 0.07) × (1 - 1 / (1 + 0.07)^12) ≈ $42,448.50

The profitability index (PI) is a ratio that indicates the value created per unit of investment. It is calculated by dividing the present value of future cash flows by the initial investment cost. A PI greater than 1 indicates a positive net present value and suggests that the investment is worthwhile.

For Project A, the PI is calculated as follows:

PI(A) = (PV of future cash flows / Initial investment) + 1 ≈ (72,204.79 / 523,000) + 1 ≈ 1.38

For Project B, the PI is calculated as follows:

PI(B) = (PV of future cash flows / Initial investment) + 1 ≈ (42,448.50 / 358,000) + 1 ≈ 1.19

These calculations indicate that both projects have positive NPVs and PIs greater than 1. Project A has a higher NPV and PI compared to Project B, suggesting that it is the more financially attractive option.

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a utility technician needs to access wires to a number of different buildings, and each has different obstructions around it.

Answers

Accessing lines in different buildings with different obstacles can be especially difficult for utility technicians. The are some common scenarios and possible approaches for overcoming obstacles.

If the obstruction is a fence, you may need to contact the building owner or facilities manager to arrange access to the gate or obtain a key. For walls, you may need to work with building maintenance personnel to find access points such as storage rooms or designated entrance areas.

Ask the building owner, property manager, or security personnel for the key or access code needed to unlock the wire door. If the obstruction is an interior door within the building, it may be necessary to coordinate with the resident or resident representative to gain access.

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The correct question is :

A utility technician needs to access wires to a number of different buildings, and each has different obstructions around it. Explain

a. An investor buys a European put option on a share for £3. The current stock price is £21 and the strike price is £18. The maturity of the option is in 3 months. Briefly discuss the investor’s motivation for purchasing the put option. Draw a diagram showing the investor’s potential profit/loss on this position at maturity. [5 marks]

b. An investor writes a European call option on a share for £1. The current stock price is £11 and the strike price is £12. The maturity of the option is in 3 months. Briefly discuss the investor’s motivation for selling the call option and highlight the key challenge of this position. Draw a diagram showing the investor’s potential profit/loss on this position at the maturity. [5 marks]

c. A butterfly spread involves positions in four options of the same option type on the same underlying security, all with the same expiry date but with three different strike prices. An investor has created a butterfly spread by buying one European call option with a £25 strike price, buying one European call option with a £35 strike price, and writing (selling) two European call options with a £30 strike price. Suppose that the market prices of the options are as follows:

Strike price (£)
25
30
35
Call option price (£)
8
5
3
молю

REQUIRED:

i. Draw a diagram for the investor’s net profit/loss from creating the butterfly spread. (Mark the strike prices, the lower bound and the upper bound on the net profit/loss if possible.).

ii. Briefly discuss the investor’s motivation for building the butterfly spread.

d. Discuss "Time to Expiry" as one of the key factors that influences European option prices

e. Briefly discuss the key differences between forwards and futures.

f. Suppose the risk-free rate is 6% per annum and the dividend yield on a stock index over the next three months is 1.5% per annum. All interest rates and dividend yields are continuously compounded. If the index is trading at 1,000 and the 9-month stock index future contract is currently trading at 1,020, is there any mis-pricing? If so, how can investors exploit the mis-Pricing?

Answers

a. The investor's motivation for purchasing the put option: An investor purchases a European put option on a share for £3. The current stock price is £21, and the strike price is £18. The maturity of the option is three months.

The investor's motivation for purchasing the put option is to guard against an adverse movement in the stock price during the option's maturity. The investor anticipates that the price of the underlying asset will fall, resulting in the option being in the money at maturity. The investor's potential profit/loss on this position at maturity is represented in the figure below.

b. The investor's motivation for selling the call option and highlighting the key challenge of this position: An investor writes a European call option on a share for £1. The current stock price is £11, and the strike price is £12. The maturity of the option is three months. The investor's motivation for selling the call option is to generate income from the option premium and to benefit from a reduction in the price of the underlying asset. The key challenge of this position is the investor's obligation to sell the underlying asset at the strike price of £12 if the buyer of the option chooses to exercise the option and the underlying asset price is above the strike price. The investor's potential profit/loss on this position at maturity is shown in the figure below.

c. Butterfly Spread: A butterfly spread entails positions in four options of the same option type on the same underlying asset, all with the same expiry date but with three different strike prices. An investor has constructed a butterfly spread by purchasing one European call option with a £25 strike price, purchasing one European call option with a £35 strike price, and selling (writing) two European call options with a £30 strike price.

i. The net profit/loss diagram for the investor who created the butterfly spread:

ii. The investor's motivation for constructing the butterfly spread is that the strategy allows them to limit the amount of money spent on the position while also profiting from a limited price increase. The investor anticipates that the underlying asset's price will remain close to the £30 strike price and will not rise above £35 or fall below £25.  

d. Time to Expiry:One of the key factors that influence European option prices is time to expiry. As time passes, an option's value decreases. The longer an option has until expiration, the higher its value. Because there is more time for the underlying asset price to move in a favorable way, the time value of an option is higher when the option has a longer life.

e. The key differences between forwards and futures are as follows: Forwards: Futures Contracts are over-the-counter (OTC). Contracts are listed on an exchange. Both parties assume counterparty credit risk. Both parties are exposed to clearinghouse credit risk. Parties negotiate the terms of the contract. The contract's terms and conditions are standardized. The parties can customize the contract to their specific needs. The contract's terms and conditions are non-negotiable. Parties must be creditworthy. The exchange acts as the counterparty.

f. The mis-pricing can be calculated as follows:Mispricing = Future price - [(Spot price + Dividend yield) * e^(Risk-free rate*time)]Mispricing = [tex]1,020 - [(1,000 + 0.015) * e^(0.06*0.75)] = £21.57[/tex]The mispricing of the stock index future contract is £21.57.The investors could exploit the mispricing by taking the following steps: If the index future contract is overpriced, the investor should sell the future contract. If the index future contract is underpriced, the investor should buy the future contract.

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a: A firm issues preferred stock with a dividend of $2.08. If the appropriate discount rate is 11.37% what is the value of the preferred stock?
b: The market price of a share of preferred stock is $20.57 and the dividend is $2.22. What discount rate did the market use to value the stock?
c: The market price of a share of preferred stock is $44.20. The market uses a discount rate of 4.94%. What is the dividend?
d: Caspian Sea is considering raising $26.00 million by issuing preferred stock. They believe the market will use a discount rate of 9.42% to value the preferred stock which will pay a dividend of $3.44. How many shares will they need to issue?

Answers

a) The value of the preferred stock is approximately $18.27. b) The market used a discount rate of 10.78% to value the preferred stock. c) The dividend for a share of preferred stock is approximately $2.18. d) To raise $26 million by issuing preferred stock with a dividend of $3.44, approximately 7,558,139 shares.

a) The value of the preferred stock can be calculated using the formula: Value = Dividend / Discount Rate. Substituting the given values, we have Value = $2.08 / 0.1137 ≈ $18.27.

b) To determine the discount rate, we can use the formula: Discount Rate = Dividend / Market Price. Substituting the given values, we have Discount Rate = $2.22 / $20.57 ≈ 0.1078 or 10.78%.

c) To find the dividend, we can use the formula: Dividend = Discount Rate * Market Price. Substituting the given values, we have Dividend = 0.0494 * $44.20 ≈ $2.18.

d) The number of shares needed to be issued can be calculated using the formula: Shares = Amount to be raised / Dividend. Substituting the given values, we have Shares = $26,000,000 / $3.44 ≈ 7,558,139 shares.

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Gabi Gram started The Gram Co., a new business that began operations on May 1. The Gram Co. completed the following transactions during its first month of operations.
May 1 G. Gram invested $40,000 cash in the company in exchange for its common stock.
1 The company rented a furnished office and paid $2,200 cash for May’s rent.
3 The company purchased $1,890 of office equipment on credit.
5 The company paid $750 cash for this month’s cleaning services.
8 The company provided consulting services for a client and immediately collected $5,400 cash.
12 The company provided $2,500 of consulting services for a client on credit.
15 The company paid $750 cash for an assistant’s salary for the first half of this month.
20 The company received $2,500 cash payment for the services provided on May 12.
22 The company provided $3,200 of consulting services on credit.
25 The company received $3,200 cash payment for the services provided on May 22.
26 The company paid $1,890 cash for the office equipment purchased on May 3.
27 The company purchased $80 of advertising in this month’s (May) local paper on credit; cash payment is due June 1.
28 The company paid $750 cash for an assistant’s salary for the second half of this month.
30 The company paid $300 cash for this month’s telephone bill.
30 The company paid $280 cash for this month’s utilities.
31 The company paid $1,400 cash in dividends to the owner (sole shareholder).
8.
value:
0.36 points
Required information
Required:
2.
Enter the amount of each transaction on individual items of the accounting equation. Do not determine new account balances after each transaction. (Enter the transactions in the given order. Enter reductions to account balances with a minus sign.)

Answers

Following is the tabular representation of each transaction in individual items of the accounting equation. All the given transactions are recorded under the cash basis of accounting as each transaction is either an inflow or outflow of cash.

Transaction Items of Accounting Equation Cash + Accounts Receivable = Equipment + Office Supplies=Accounts Payable + G. Gram, Capital + Revenue - Expenses Invested $40,000 cash in the company in exchange for its common stock+40,000=+40,000. Rented a furnished office and paid $2,200 cash for May’s rent.-2,200=+2,200,

Purchased $1,890 of office equipment on credit.-1,890=+1,890Paid $750 cash for this month’s cleaning services.-750=Provided consulting services for a client and immediately collected $5,400 cash.+5,400=+5,400Provided $2,500 of consulting services for a client on credit.+2,500=+2,500Paid $750 cash for an assistant’s salary for the first half of this month.-750=Received $2,500 cash payment for the services provided on May 12.+2,500=Provided $3,200 of consulting services on credit.+3,200=+3,200 Received $3,200 cash payment for the services provided on May 22.+3,200=Paid $1,890 cash for the office equipment purchased on

May 3.-1,890=+1,890 Purchased $80 of advertising in this month’s (May) local paper on credit; cash payment is due June 1.-80=+80Paid $750 cash for an assistant’s salary for the second half of this month.-750=Paid $300 cash for this month’s telephone bill.-300=Paid $280 cash for this month’s utilities.-280=Paid $1,400 cash in dividends to the owner (sole shareholder).-1,400=+1,400

Gabi Gram started The Gram Co., a new business that began operations on

May 1. Gabi invested $40,000 cash in the company in exchange for its common stock. This increases the cash balance and common stock account balance. The company rented a furnished office and paid $2,200 cash for May’s rent. This reduces the cash balance and increases the rent expense account balance. The company purchased $1,890 of office equipment on credit. This increases the equipment account balance and accounts payable balance.

The company paid $750 cash for this month’s cleaning services. This reduces the cash balance and increases the cleaning services expense account balance.

The company provided consulting services for a client and immediately collected $5,400 cash. This increases the cash balance and consulting revenue account balance.

The company provided $2,500 of consulting services for a client on credit. This increases the account receivable account balance and consulting revenue account balance.

The company paid $750 cash for an assistant’s salary for the first half of this month. This reduces the cash balance and increases the salary expense account balance.

The company received $2,500 cash payment for the services provided on May 12. This increases the cash balance and reduces the accounts receivable account balance.

The company provided $3,200 of consulting services on credit. This increases the account receivable account balance and consulting revenue account balance.

The company received $3,200 cash payment for the services provided on May 22. This increases the cash balance and reduces the accounts receivable account balance.

The company paid $1,890 cash for the office equipment purchased on May 3. This reduces the cash balance and increases the equipment account balance.

The company purchased $80 of advertising in this month’s (May) local paper on credit. The cash payment for this transaction is due on June 1. This increases the advertising expense account balance and accounts payable account balance.

The company paid $750 cash for an assistant’s salary for the second half of this month. This reduces the cash balance and increases the salary expense account balance.

The company paid $300 cash for this month’s telephone bill. This reduces the cash balance and increases the telephone expense account balance.

The company paid $280 cash for this month’s utilities. This reduces the cash balance and increases the utilities expense account balance. The company paid $1,400 cash in dividends to the owner (sole shareholder). This reduces the cash balance and reduces the owner's equity balance.

Thus, all the given transactions of The Gram Co. for the month of May are recorded under the cash basis of accounting. By using the accounting equation, the amount of each transaction is entered on individual items of the accounting equation without determining new account balances after each transaction.

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"Required information
[The following information applies to the questions displayed below.]

On December 31, Hawkin's records show the following accounts.
Cash $ 7,500
Accounts Receivable. 700
Supplies 4,500
Equipment 14,300
Accounts Payable 7,200
Common stock 11,500
Retained earnings, December 1 5, 200
Dividends 1,500
Services Revenue 17, 200
Wages Expense 8,000
Rent Expense 2,700
Utilities Expense 1,900

Use the above information to prepare a statement of retained earnings income is $4,600. "

Answers

The net income of $4,600 is added to the beginning balance of retained earnings of $5,200, resulting in a total of $9,800. From this total, the dividends of $1,500 are subtracted, leaving a final balance of $8,300 in retained earnings as of December 31.

Retained earnings, December 1 = $5,200

Net Income = $4,600

Dividends = $1,500

Statement of Retained Earnings-

Retained earnings, December = 1 $5,200

Add: Net Income =  $4,600

Total  = $9,800

Less = Dividends = $1,500

Retained earnings, December 31  = $8,300

The statement of retained earnings displays how retained earnings have changed over a given time period. The net income is added to the beginning balance of retained earnings and any dividends paid to shareholders are subtracted. Retained earnings at the end of the period are represented by the resulting balance.

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