Managers who want to effectively persuade their employees should not engage in strategic ambiguity because using that tactic tends to upset less experienced employees. In competent workplace communication, frustration and anger are representative examples of relationship maintenance. The president of a company sending a memo to all workers is an example of horizontal communication. Supportive communicators listen with empathy but usually are poor at acknowledging the feelings of others. A personal brand is how you manage the identity of another person. Telling sexist jokes in workplace is a form of quid pro quo harassment. T/F

Answers

Answer 1

Answer: False. Telling sexist jokes in the workplace is not a form of quid pro quo harassment.

Quid pro quo harassment refers to situations where employment decisions or benefits are contingent upon the submission to unwelcome sexual advances or requests. Telling sexist jokes can contribute to creating a hostile work environment, which is a different type of harassment. It can still be inappropriate and offensive, but it does not fall under the specific legal definition of quid pro quo harassment.

In summary, the statement is false. Telling sexist jokes in the workplace is not considered quid pro quo harassment, but it can contribute to creating a hostile work environment and is generally inappropriate and offensive.

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Related Questions

How is a game designer different from a writer?

Answers

Answer:game desighners are mostly online

Explanation:

Game designers work with programming and coding writers use words

300, Scott Lawton, discusses Barcelona's philosophy on allowing restaurant managers to make their own decisions. They hire and train managers that they believe have the creativity and brain power to be successful. Scott is performing a(n) role. What is another activity Scott may perform within this role? Keeping apprised of food and safety regulations by checking the FDA web site on a regular basis Presenting plaques to employees who have reached a yearly service milestone Resolving a dispute between the Executive Chef and one of her line cooks Doing a radio interview about a new restaurant location

Answers

As part of his job as a restaurant manager, Scott might also carry out tasks like mediating arguments among chefs and promoting new restaurant locations.

What is Scott Lawton famous for?

Since 1999, Lawton has led the Deutsches Filmorchester Babelsberg in Potsdam as its principal conductor. He performs silent film screenings, records in the studio for movies and television shows, and conducts orchestra concerts with the Filmorchester.

Bartaco, a restaurant with a coastal theme that serves fresh, ritzy street food in a casual setting, was founded and is led by Scott Lawton. At the Ivory & Castle Center in Southwark, Lawton defeated Dave Hinds to make his professional debut in September 2001. Before being given a chance to, he fought an additional nine times.

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When a bank makes a loan:
A. It causes an increase in the money supply.
B.it causes a reduction in the money supply.
C. it can stimulate business activity, but there is no effect on the money supply.
D. it can cause either an increase or a decrease in the money supply depending on the elasticity of supply

Answers

Answer:

C

Explanation:

this is the answer bc there is really no effect

At which point on the business cycle would most likely find cyclical unemployment?

Answers

Answer:

Recession cycle

Explanation:

Cyclical unemployment is the nature of unemployment caused by the natural cyclical trends in the economy.  The economy undergoes seasons of boom and downturns. These seasons occur repetitively in a country from time to time.

When the economy is experiencing growth(boom or expansion), the production level is high, resulting in the creation of many job opportunities. During recessions ( economic downturns), demand and production decline leading to loss of jobs. The rate of unemployment increases. The type of unemployment created by the decline in economic activities is cyclical unemployment.

An unsecured loan...
typically has lower interest rates than a secured loan
is less difficult to qualify for than a secured loan
is connected to collateral, which can be taken by the lender if the loan is not paid
is not connected to collateral and, therefore, a higher risk for lenders

Answers

Answer:

is not connected to collateral and, therefore, a higher risk for lenders

Explanation:

Unsecured loans are the loans issued without any securities attached to them. The lender relies on the borrower's creditworthiness as the basis for granting the loan. Unsecured loans are mostly available to salaried workers whose pay is processed by the lending institutions.

Unsecured loans pose a higher risk to the lender because they are not backed by any collateral. For this reason, they attract a higher interest rate than secured loans.

Answer:

D

Explanation:

took the test

3. The owner of a specialty delicatessen buys baskets, decorates and fills them with food items, and
sells them as one of the products in the shop. The entrepreneur sells an average of 130 baskets a
month The basket supplier charges $0.50 per basket. The entrepreneur would like to reduce his
variable costs and has found a basket supplier who will charge only $0.40 per basket. How much
will the delicatessen owner save in a year by changing suppliers?

Answers

Answer:

$156

Explanation:

he old price per basket is $0.50 per basket

the new supplier has a price of $0.40 per basket

Savings per basket is $0.10 ($.50- $0.40)

The average sales per month are 130 baskets.

The average savings per months will be

=$0.10 x 130

=$13

yearly savings will be

=$13 x 12 months

=$156

the primary manager of the career development team (CDT) has hat title or position
A. departmental
B. two pay grades higher
C. only if a vacancy exists
D. command career counselor

Answers

The Command Career Counselor is the primary manager of the career development team (CDT), according to their employment description (CCC).

What function does a counsellor perform?

Counselors support their clients in achieving long-term change and/or wellness improvements while coping with a variety of emotional and psychological challenges. Due to issues like depression, anxiety, stress, grief, and relationship issues, clients may be finding it difficult to manage their life. The main differences between a counsellor and a psychologist are approach and the ability to diagnose. To help people manage their mental health, psychologists use strategies like CBT. One who has earned a master's degree in clinical psychology is a professional counsellor.

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Management, can anyone help me?

Management, can anyone help me?

Answers

I think it is C I looked up some stuff and they all add up to C

________ involves assembling, packing, labeling, checking and actually moving goods to customers by the best possible means in terms of cost, safety and speed.(1 Point)
a.Distribution
b.Production
c.Driving
d.Direction

Answers

Answer:

distribution or a

Explanation:

When you pack and give the goods to the customers, you are 'distributing' the goods.

Have a nice day! ^ ^

When deciding on what to wear each day, most people use the decision-making process.
Т
F

Answers

Answer:

False

Explanation:

The decision-making process is a complex process that requires the user to go through seven in-depth steps before coming to a conclusion. This would be used in a business setting by an employee such as a CEO before making important decisions such as cutting a product line or adding a new department. Deciding what to wear each day is a decision, but does not require the in-depth thought process and research that is included in the decision-making process.

prompt: what is cash flow?

Answers

Cash flow pertains to the transfer of money in and out of an enterprise across a timeframe, commonly quantified via cash inflows and outflows.

What is cash flow?

Cash flow  denotes the physical currency produced or dispensed through a company's exploitations, investments, and financial undertakings within a designated period- say, perhaps, one month, quarter, or year.

Cash flow assumes an essential financial measurement discerning for organizations appraising their fluidity, stability, and economic well-being. It grants intelligence into the amount of available monetary funds that companies might avail in extending short-term responsibilities, investing upon development opportunities, as well know putting together payouts to stakeholders.

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Find the final discount date and the net payment date for an invoice dated June 14 with terms of 3/10, net 20.
The final discount date is
(Type whole numbers.)

Answers

According to the given data, the final discount date is June 24 and the net payment date is July 4.

What do you mean by  final discount date?

Discount date is the date that comes ten (10) days after the bill's due date, unless another date is specified in the contract. The discount date is the final day that net rates can be applied to water and/or sewer charges.

The time frame during which an invoice must be fully paid in order to receive a reduction in the amount owed is known as the discount period.

Here,

Calculation of the final discount date:

Final discount date = June 14 + 10 days

Final discount date = June 24

Calculation of Net payment date:

Net payment date = June 14 + 20 days

Net Payment date = July 4

Therefore, through the data,  the final discount date is June 24 and the net payment date is July 4.

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EFFECTS OF THE RUSSIAN - UKRAINE WAR
Commodity prices, including wheat, corn, have surged since Russia began its
invasion of Ukraine on 24/02/2022. Russia & Ukraine account for about 29% and
19% of global wheat and maize exports.
With Ukraine ports closed and much of Russian grain supply frozen by Western
sanctions, there are fears of tightening supplies will lead to shortages in importing
countries.
South Africa, a net exporter of maize, imports about 40% of its wheat.
The conflict will have an impact on the International wheat prices which ultimately
reflect in in SA wheat prices as well.
Adapted: econ 3x3 :editor's corner March
2022
In view of the above Information conduct a research and write a report on the impact
of the Russian - Ukraine war on the South African Economy
In your report focus on the following issues:
13
• Highlight the negative externalities that might occur in the South African
Economy, due to the above-mentioned war.

EFFECTS OF THE RUSSIAN - UKRAINE WARCommodity prices, including wheat, corn, have surged since Russia

Answers

The impact of the Russian - Ukraine war on the South African Economy is that It has lead to the pushing up of prices in South Africa.

What is the impacts of the war in SA.?

The Russia's invasion of Ukraine and the sanctions that were said to have been placed on Russia have made a lot of commodity prices to be going up, and thus it has adverse implications for South Africa's as there are now consumer price inflation.

Most cereals and machineries in South Africa is been imported from Ukraine and this is known to have affected their economy a lot as it has lead to food and fuel crises.

Note that the impact of the Russian - Ukraine war on the South African Economy is that It has lead to the pushing up of prices in South Africa.

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Your mother just invested 1 million ISK in a bank that is being privatized. She has some good connections so she invests 250K of her own savings and gets an interest free loan of 750K from the bank to pay for the rest of the shares.
The day after the investment, the share price of the bank has risen, and her investment is now worth 1.25 million ISK. What is your mums return on investment?
Group of answer choices
a.50%
b.100%
c.20%
d.Minus 100% (meaning she lost all her money)
e.25%

Answers

The day after the investment, the share price of the bank has risen, and her investment is now worth 1.25 million ISK. The return on investment for your mother is 100%.

To calculate the return on investment, we need to determine the percentage increase in the value of the investment.

Initial investment:

Your mother invested 1 million ISK, out of which 250K is her own savings and 750K is a loan from the bank.

Current value of investment:

The investment is now worth 1.25 million ISK.

Profit:

The profit is the difference between the current value and the initial investment:

1.25 million ISK - 1 million ISK = 250,000 ISK

Return on investment:

To calculate the return on investment, we divide the profit by the initial investment and multiply by 100:

(250,000 ISK / 1 million ISK) * 100 = 25%

However, we need to consider that your mother only invested 250K of her own savings, not the full 1 million ISK. So the return on her own investment is:

(250,000 ISK / 250,000 ISK) * 100 = 100%

Therefore, the return on investment for your mother is 100%. She has doubled her own investment of 250K.

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Which of the following financial measures are used to determine a company's credit rating? Copyright © by Glo-Bus Software, Inc. Copying, distributing, or 3rd party website posting isexpressly prohibited and constitutes copyright violation. Its retained earnings cash balance, dividend payout ratio, and prior-year global operating profit margin Its debt-equity ratio, cash flow from operations, current ratio, and global gross profit margin Its current ratio, annual interest payments as a percentage of prior-year net income, and its prior-year global market share of total athletic footwear sales o Its working capital ratio, debt-equity ratio, and ratio of cash flow from operations to total revenues o Its debt-asset ratio, default risk ratio, and interest

Answers

The financial measures used to determine a company's credit rating include its debt-equity ratio, cash flow from operations, current ratio, global gross profit margin, working capital ratio, and debt-asset ratio.

Measures such as retained earnings cash balance, dividend payout ratio, prior-year global operating profit margin, annual interest payments as a percentage of prior-year net income, and prior-year global market share of total athletic footwear sales may also be considered but are not exclusively used for determining credit rating.

To determine a company's credit rating, various financial measures are considered. The debt-equity ratio is an important indicator of a company's financial health, as it measures the proportion of debt relative to shareholders' equity. A lower debt-equity ratio indicates a lower risk and is generally favorable for credit ratings. Cash flow from operations provides insight into a company's ability to generate cash to meet its obligations, while the current ratio measures its short-term liquidity by comparing current assets to current liabilities. A higher current ratio is generally preferred for creditworthiness.

The global gross profit margin is another important measure, as it indicates a company's profitability. A higher margin suggests better financial stability and repayment capacity. The working capital ratio, which compares current assets to current liabilities, and the debt-asset ratio, which measures the proportion of debt to total assets, are also considered in assessing creditworthiness.

While measures such as retained earnings cash balance, dividend payout ratio, prior-year global operating profit margin, annual interest payments as a percentage of prior-year net income, and prior-year global market share of total athletic footwear sales can provide additional insights into a company's financial performance, they are not exclusively used for determining credit ratings. Credit rating agencies consider a combination of these financial measures along with other qualitative factors to assess a company's creditworthiness and assign a credit rating.

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Which statement about your credit utilization ratio is TRUE?
Utilization is the amount you owe divided by your total credit limit and a higher utilization is better
Utilization is the number of purchases with credit divided by your total number of purchases and a
higher utilization is better
Utilization is the number of purchases with credit divided by your total number of purchases and a
lower utilization is better
Utilization is the amount you owe divided by your total credit limit and a lower utilization is better
Rewatch

Answers

The amount the revolving credit you are currently utilizing divided by the entire amount of revolving credit that have available is your credit usage rate, also known as your credit utilization ratio.

How much of your credit are you using?

Your utilization rate ratio, which is typically stated as a percentage, is calculated by dividing the amount of credit lines you are now utilizing by the total amount of credit you have access to.Your credit usage ratio is one factor that lenders look at to assess how well you're handling your present debt.

Is credit usage determined by the statement?

No, despite the fact that this is a typical misconception.Based on how much of your available credit you used during the billing cycle, that number is your credit usage ratio.

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Internal Stakeholders → Exhibition that is open to the public, usually requiring an entrance fee.

True

False

Answers

Answer:

Explanation:

t



The Answer to this question is False

Country Q has experienced a rapid increase in its unemployment rate and a sharp decline in its GDP. What might policymakers do in the face of these economic indicators?

A) encourage a decrease in purchasing until employment figures increase
B) try to trade with other nations to increase production and create new jobs
C) increase taxes so the government has more money to spend
D) implement controls on wages, forcing employers to pay higher wages




The Answer is:: B) try to trade with other nations to increase production and create new jobs

Answers

Answer:

B). Try to trade with other nations to increase production and create new jobs.

Explanation:

Country Q has encountered a brisk fall in its rate of unemployment and as a consequence, a sharp downturn in its GDP. In such a situation, the most significant action to go on would be to 'create new job opportunities' and that can be done by making efforts to encourage trade with other nations which will help in increasing production and more production would generate job opportunities and increase GDP automatically. The increased trade will increase productivity and assist in bringing the economy back on track. Thus, option B is the correct answer.

Answer:

b

Explanation:

Is savings a gross income?

Answers

No, Savings should be treated as another type of Net Income and not gross income.

Net income (NI), likewise called net profit, is determined as deals less expense of products sold, selling, general and managerial costs, working costs, devaluation, interest, charges, and different costs. It is a helpful number for financial backers to survey how much income surpasses the costs of an association. This number shows up on an organization's pay proclamation and is likewise a sign of an organization's benefit.

Gross income alludes to a singular's total earnings or pre-tax earnings, and NI refers to the difference after factoring deductions and taxes into gross income. To work out available pay, which is the figure utilized by the Internal Revenue Service to decide personal assessment, citizens take away allowances from gross pay. The contrast between available pay and personal duty is a singular's NI.

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Wilson, Inc. , has a current stock price of $44. 50. For the past year, the company had net income of $6,400,000, total equity of $21,610,000, sales of $39,300,000, and 4. 4 million shares of stock outstanding.

A) What are earnings per share (EPS)?

B) What is the price earnings ratio?

C) What is the price sales ratio?

D) What is the book value per share?

E) What is the market-to-book ratio?

Answers

Current stock price = $44.50

Net income = $6,400,000

Total equity = $21,610,000

Sales = $39,300,000

shares of stock outstanding = 4.4 million

1. Earnings per share:

= Net income ÷ shares of stock outstanding

= $6,400,000 ÷ 4.4 million

= $1.45

2. Price−earnings ratio:

= Market price per share ÷ EPS

= $44.50 ÷ $1.45

= 30.68

3. Price−sales ratio:

= Market capitalization ÷ Total sales

= ($44.50 × 4,400,000) ÷ $39,300,000

= $195,800,000 ÷ $39,300,000

= 4.982

4. Book value per share:

= Shareholder's equity ÷ shares of stock outstanding

= $21,610,000 ÷ 4,400,000

= $4.911

5. Market-to-book ratio:

= Market value per share ÷ Book value per share

= $44.50 ÷ $4.911

= 9.061

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Administrative management is concerned with managing ________.

Answers

Answer:the total organization

Explanation:

1. Juan is enrolled in marketing education courses and is 17 years old. Juan has been hired by an electrical contractor. Juan is hoping to use this job as a cooperative work site placement. You are told that Juan’s job is to pull electrical components out of inventory and drive them to the job site.

Answers

Answer:

What is the wholesaling industry?

Explanation:

Juan is enrolled in marketing education courses and is 17 years old. Juan has been hired by an electrical contractor. Juan is hoping to use this job as a cooperative work site placement. You are told that Juan’s job is to pull electrical components out of inventory and drive them to the job site.

Your answer

Which of the following decisions is most likely to create a temporary diseconomy of
scale? (Select the best answer.)
A)Buying supplies in bulk
B)Buying an expensive piece of machinery
C)Hiring employees who specialize
D)Using division of labor

Answers

Answer:

Buying an expensive piece of machinery

Explanation:

can you answer these questions for me please ?
22. The Walt Disney Company had a total amortization of
intangible assets (in millions) for 2020 of
 $2,328
 $3,140
 $5,345
 $2,205
23. Inte

Answers

22. The Walt Disney Company had a total amortization of intangible assets (in millions) for 2020 of $2,328. Intangible assets can be defined as non-physical, long-term assets such as patents, trademarks, copyrights, and goodwill.

The cost of acquiring these assets can be spread over their useful life in the form of amortization. In 2020, The Walt Disney Company reported a total amortization of intangible assets amounting to $2,328 million. This figure is obtained from the company's income statement or 10-K filing.23. Intangible assets on Disney's balance sheet for 2020 was $98,338 million.The balance sheet is a financial statement that reports a company's assets, liabilities, and equity at a given point in time. In 2020, the Walt Disney Company reported a total intangible asset of $98,338 million on its balance sheet. This includes assets such as goodwill, trademarks, and patents. The balance sheet can be found in the company's annual report or 10-K filing.To summarize, The Walt Disney Company had a total amortization of intangible assets of $2,328 million in 2020, while the total intangible assets reported on the company's balance sheet for 2020 was $98,338 million.

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If the price of a good rises and as a result total revenue falls, then it must be true that Select one: a. price elasticity of demand for the good is greater than 1 b. price elasticity of demand for the good is less than 1. C. income elasticity of demand for the good is positive. d. income elasticity of demand for the good is negative. е. сross elasticity of demand for the good is negative.

Answers

b.) price elasticity of demand for the good is less than 1. When total revenue falls as a result of a price increase, the demand for the good is elastic, and the price elasticity of demand is less than 1.

When the price of an item increases and the total revenue (TR) decreases, this indicates that the demand for the good is elastic. As a result, when prices rise, customers will demand much less since they are sensitive to price changes. The price elasticity of demand (PED) in this situation exceeds 1. The demand for the good is considered to be inelastic, meaning that customers are less sensitive to price fluctuations, if the TR decreases as the commodity's price rises. In this case, the PED is less than 1. For companies to make educated choices regarding pricing, output, and income, they must have a thorough understanding of the price elasticity of demand.

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Indra Nooyi is not a typical CEO. How does she differ from your idea of what a typical CEO is like? How do you think your current image of CEOs was created?

Answers

Indra Nooyi is not a typical CEO in several ways. Firstly, she is a woman, which is still a rarity in the world of corporate leadership.

Secondly, she has been very vocal about the importance of balancing business objectives with social responsibility and sustainability, which is not always a top priority for many CEOs. She has also been known for her focus on employee welfare and development, which is not always seen as the most important aspect of business success by some CEOs. My current image of CEOs is likely shaped by media portrayals, as well as by the actions and statements of high-profile CEOs who have made headlines in recent years. The increasing scrutiny and criticism of corporate behavior and ethics may have also influenced my perception of what a typical CEO is like.

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Who carries the animal from the farm to the market or packer?
A. Producer
B. Proccessor
C. Transporter
D. Consumer

Answers

Answer:

was it a passage u had to read?

Explanation:

Answer:

Transporter

Explanation:

You are transferring the animal to the market from the farm.

What levels of risk does investing in the stock generally carry
medium
medium, high,
low, high
or low?

Answers

Low, high  levels of risk does investing in the stock generally carry. Over the long term, stocks have the highest potential for growth for investors. Investors who have chosen to hold onto stocks for an extended length of time—say let's 15 years.

Typically been rewarded with robust, profitable returns. Utilize your associated banking account to open a risk and trading account. Access that trading account. Choose the shares you want to purchase or sell. Make sure you have the necessary investing funds in your account to purchase the shares stocks. taking dividends in— Many stocks distribute dividends, which are based on the company's earnings per share.

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Differentiate the Single and Double Entry Book-Keeping in your own words. Furthermore, briefly explain the objectives of Double Entry Book-Keeping.

Answers

Answer:

See below

Explanation:

A single entry book keeping is when a cash book is being maintained to record income and expenses. In a single entry book keeping, only one entry is made per transaction like we have in check register.

Double entry book keeping is when an accounting entries have two sides, debit and credit leg. The right hand side is the debit while the left side is the credit.

Objectives of double entry book keeping

• To provide accurate recording of business transactions to management

• When there are problems in financial matters, book keeping assist in solving this problems through its systematic record of financial transactions .

• Book keeping also provide information to the management for making plans and decisions relating to finances.

the degree of operating leverage can be calculated as:

Answers

The degree of operating leverage can be calculated as the percentage change in operating income divided by the percentage change in sales.

The degree of operating leverage (DOL) is a measure of the sensitivity of a company's operating income (also known as operating profit or EBIT) to changes in its sales revenue. It helps to assess the impact of changes in sales on a company's profitability.

The formula to calculate the degree of operating leverage is as follows:

DOL = Percentage Change in Operating Income / Percentage Change in Sales

To calculate the percentage change, you need two sets of data: the initial values and the new values after a change. Let's assume the initial operating income is OI1 and the new operating income after a change is OI2. Similarly, the initial sales revenue is SR1, and the new sales revenue is SR2.

Percentage Change in Operating Income = (OI2 - OI1) / OI1 * 100

Percentage Change in Sales = (SR2 - SR1) / SR1 * 100

Once you have calculated these percentage changes, you can substitute them into the formula to find the degree of operating leverage:

DOL = ((OI2 - OI1) / OI1) / ((SR2 - SR1) / SR1)

The degree of operating leverage is a useful metric to evaluate the impact of changes in sales on a company's operating income. By understanding the DOL, companies can assess the level of risk associated with changes in sales volume and make informed decisions to optimize their profitability.

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