What is the difference between interstate commerce and intrastate commerce?

Answers

Answer 1

In the Intrastate commerce,  We are hauling loads in only one state. But in the Interstate commerce we are going across state or country borders for your loads.

In the term of economic and business, Intrastate commerce generally can be defined as any trade, traffic, or transportation in any State which is not described in the term interstate commerce. There are several types of intrastate commerce, such as Tow trucks, Garbage trucks, and also Dump trucks. Interstate commerce can be defined as any trade that located between two places in a State as part of trade, traffic, or transportation originating or terminating outside the State or the U.S.

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Related Questions

The publisher of Celebrity Living claims that the mean sales for personality magazines that feature people such as Megan Fox or Jennifer Lawrence are 1.5 million copies per week. A sample of 10 comparable titles shows a mean weekly sales last week of 1.3 million copies with a standard deviation of 0.9 million copies.

Answers

Answer and Explanation:

The computation is shown below:

For determining each part first we have to do the following calculations

Critical value of t = 3.250

Null hypothesis = 1.5

Alternative hypothesis ≠ 1.5

Population mean \(\mu\) = 1.5

Sample mean \(\bar X\)= 1.30

Sample size \(n\) = 10.00

Sample standard deviation \(s\) = 0.900

Standard error of mean is

\(s_x = \frac{s}{\sqrt{n} }\)

\(= \frac{0.900}{\sqrt{10.00}}\)

= 0.2846

Test static is

\(t = \frac{x - \mu}{s_x}\)

\(= \frac{1.30 - 1.5}{0.2846}\)

= -0.703

a. The null hypothesis is

μ = 1.5

Alternate Hypothesis is

μ ≠ 1.5

b. reject \(H_o\) if t is not between

-3.250 and 3.250

c. The value of the test statistic is

t = -0.703

(as we have computed above)

d. fail to reject \(H_o\) as this data does not contradict the publisher claim

The publisher of Celebrity Living claims that the mean sales for personality magazines that feature people

What did the British East India Company import?

Answers

Black pepper is imported by the British East India Company. In the first century of business, the British East India Company increased its economic clout in the Far East.

On the beginning, there was a learning curve: after the first 16-month round voyage from the Spice Islands (modern Indonesia), the company imported so much black pepper that the surplus in the market pushed prices lower. English and then British joint-stock corporation The East India Company (EIC) was established in 1600 and shut down in 1874. It was created to facilitate trade in the Indian Ocean region, first with the East Indies (the Indian subcontinent and Southeast Asia), then with East Asia.

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An 8%, five-year bond yields 6%. If the yield remains unchanged, what will be its price one year hence? Assume annual coupon payments.
What is the total return to an investor who held the bond over this year? What can you deduce about the relationship between the bond return over a particular period and the yields to maturity at the start and end of that period?

Answers

The relationship between bond return and yields to maturity is inverse: as yields decrease, bond prices increase, resulting in positive returns, and vice versa.

To calculate the price of the bond one year hence, we need to consider the annual coupon payments and the face value of the bond.

Given that it is an 8% bond with a yield of 6%, we can determine that the coupon rate is higher than the yield, indicating that the bond is trading at a premium. This means that the bond's price is above its face value.

To calculate the price one year hence, we need to discount the future cash flows, which include the coupon payment and the face value.

Let's assume the face value of the bond is $1,000.

In the first year, the investor will receive a coupon payment of 8% * $1,000 = $80. The present value of this cash flow at a yield of 6% is $80 / (1 + 0.06) = $75.47.

At the end of the fifth year, the investor will receive the face value of $1,000. The present value of this cash flow is $1,000 / (1 + 0.06)^5 = $747.26. The price of the bond one year hence would be the present value of these cash flows, which is $75.47 + $747.26 = $822.73.

Now, let's calculate the total return to the investor who held the bond over this year. The total return consists of the coupon payment received and any change in the bond's price.

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How can an employee best help to maintain a positive work environment?
ОА.
Avoid interacting with other staff members.
OB.
Focus on the good things.
O C.
Socialize every evening with other staff members.
OD.
Maintain good relations with the management.

Answers

Answer:

D. Maintain good relations with the management.

Answer:

it is (C)

Explanation:

Heightened Homes is a real estate firm based in Texas. The company ensures that employees' pay is dependent on what they are capable of doing. The company also supports efforts to empower its employees by encouraging them to be independent and to make decisions in various areas. This, in turn, ensures job enrichment. Based on this information, identify the pay structure being utilized by Heightened Homes. Select one: a. straight piecework plan b. skill-based pay systems c. merit pay system d. differential piece rates e. standard hour plan

Answers

Answer: skill-based pay systems

Explanation:

Please Help!!
Use the credit card information below and the designated method of computing interest to fill in the blanks. (See image)

Adjusted Balance Method-
Interest $______
New Balance $______

Please Help!!Use the credit card information below and the designated method of computing interest to

Answers

Answer:

Adjusted Balance Method:

Interest $__3.90____

New Balance $__568.90____

Explanation:

a) Data and Calculations:

Previous balance = $500

Purchases:

May 12   $25

May 22  100

May 30   50

Total   $175

Payment:

May 20 $110

Interest = $3.90 ($500 - $110)

New Balance $ = Adjusted balance + New Purchases + Interest

= $390 + $175 + $3.90

= $568.90

b) Based on the credit card information and using the adjusted balance method, you compute the finance charge (or interest) based on the previous balance of $500 from the end of the last billing cycle and subtract any payments and credits of $110 made during the current billing cycle.  This simply means that the new charges (purchases on the credit card) of $175made during the billing cycle are not factored into the adjusted balance before calculating interest.

Leo Co. uses the allowance method to account for bad debts. At the end of the year, Leo Co.'s accounts receivable balance is $25,000; allowance for doubtful accounts balance of $100 (credit); and sales of $500,000. Based on history, Leo estimates that bad debts will be 2% of accounts receivable. The entry to record estimated bad debts will include a debit to Bad Debts Expense in the amount of:

Answers

The bad debts expense for the year to be debited will be $600.

Adjusted balance of the Allowance for Doubtful Accounts = Accounts receivable * 2%

Adjusted balance of the Allowance for Doubtful Accounts = $25,000 x 2%

Adjusted balance of the Allowance for Doubtful Accounts = $500

Unadjusted balance of the Allowance for Doubtful Accounts = $100

Amount of bad debt expenses = Adjusted balance of the Allowance for Doubtful Accounts + Unadjusted balance of the Allowance for Doubtful Accounts

Amount of bad debt expenses = $500 + $100

Amount of bad debt expenses = $600

Therefore, the bad debts expense for the year to be debited will be $600.

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Answer:$400

Explanation:

How is the following scenario counted for the purposes of determining GDP? Mike buys a new house on a cul-de-sac

Answers

The purchase of a new house by Mike on a cul-de-sac is counted in the calculation of GDP as part of the investment component. It is considered a capital investment because the house is a durable good that is expected to provide economic benefits over a long period of time.

The purchase of the house is included in the Gross Private Domestic Investment (GPDI) category of GDP, which includes all expenditures made by businesses and households for new construction, machinery, equipment, and changes in inventories.

The purchase of a new house adds to the stock of physical capital in the economy and contributes to the long-term economic growth. However, it is important to note that the value of the house is only counted once in GDP, at the time of its initial purchase, and not in subsequent years.

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what is the differences and similarities between rental goods services and non goods services

Answers

Answer and Explanation:

Rented-Goods Services are represented by retailom where consumers can own a good, or use a service for a specified time. As an example of this, we can mention hotel rooms, ski clothes, cars, houses, among others.

Nongoods Services are also represented by retail, but it presents personal services, where consumers can try them, judge them and then decide if they want to own them.

In a recession: Please choose the correct answer from the following choices, and then select the submit answer button. Answer choices unemployment increases, while aggregate output and aggregate income decrease. unemployment increases, aggregate output decreases, and people enjoy higher economic living standards. unemployment decreases, while aggregate output and aggregate income increase. aggregate output and aggregate income decrease, leading to an economic depression.

Answers

You’re you’re doing good

A university is deciding between two meal plans. One plan charges a fixed fee of $600 per semester and allows students to eat as much as they want. The other plan charges a fee based on the quantity of food consumed. Under which plan will students eat the most? Explain through economic theory.

Answers

Answer:

Students will eat the most under the fixed fee plan.

Explanation: The fixed fee plan whereby students can eat as much as they can after paying a one - time semester fee of $600 seems to provides students with a breakthrough from consumption constraint. One of the major factors which hampers the consumption rate of an individual is income. However, once there is no need to pay any additional fee aside the first payment, the issue of eveluating one's income when about to eat is expunged. The other plan seems expensive and will have a greater impact on student's income as the cost of food will increase with the number of meals taken therefore allowing student's to be more prudent in their consumption.

How did the world's per capita income and the degree of income inequality change between 1800 and 1980?

Answers

Income disparity rose although per capita income climbed by about ten times.

The distribution of income or income growth among the population is referred to as income inequality. Less equal income distribution or growth is represented by higher income inequality. The paper offers a number of inequality measurements.

The amount of money made per person in a country or region is expressed as per capita income. The average per-person income for a region is calculated using per capita income, which is also used to assess the population's standard of living and quality of life.

From 100-1900 world's per capita income increased but degree of income inequality also increased.

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Grade
Age
Favorite food........

Answers

grade- 12
age 15
food pastaaaa
grade: 9
age: 15
favorite food: pasta

What is TRUE about time as a factor in investing?


A.

The more time the investor has, the more risk they can take because there is time to weather the declines in a stock and wait for it to regain some of its value before selling.


B.

Time rarely plays a large role in investment decisions or outcomes, and typically waiting to make decisions lowers an investor’s overall risk.


C.

If you have 10 years or more to invest, opening a savings account can be a good option for high-risk, high-reward investing.


D.

If you have a shorter time period to invest because you are nearing retirement, a higher-risk investment is generally a better choice.


plz help :)

Answers

Answer:

A. The more time the investor has, the more risk they can take because there is time to weather the declines in a stock and wait for it to regain some of its value before selling.

Explanation:

This is basically the reason why younger investors can afford higher risks than older investors. If you are 60 years old, you will probably invest in very secure stocks or bonds. Instead, when you are 25, you can afford investing in risky stocks that have higher than average growth potential.

Answer:

The more time the investor has, the more risk they can take because there is time to weather the declines in a stock and wait for it to regain some of its value before selling.

Explanation:

I got it right on the test nun to worry about.

will give brainliest if correct (repost)

will give brainliest if correct (repost)
will give brainliest if correct (repost)

Answers

Answer:

decrease in demanded

Explanation:

the green one is the answer

Answer:

The other person is correct

Explanation:

have a great rest of your day :)

Gross Domestic Product or GDP can be

a)Value of output of goods and services during one year

b) National Income

c)National Output

d)Aggregate Demand

e)All the stuff made by one country in one year

f)All of the above or any of the above

Answers

Answer:

f)All of the above or any of the above

Explanation:

GDP or gross domestic product is the aggregate of the values of goods and services produced within a country's boundaries. In calculating the value of GDP, economists consider the value of finished goods only.

GDP is calculated using the expenditure approach and the income approach. With the expenditure approach, GDP is the sum of all consumers, government, incomes, and net imports. The result is GDP and also the aggregate demand.

In the income approach, the GDP is the sum of all national incomes . In other words, GDP is equal to Sales Taxes plus Depreciation and Net Foreign Factor Income.

What percentage of income do experts typically recommend people spend on
rent or mortgage payments?
A. 30 percent or less
B. 10 percent or less
C. 5 percent or less
D. 60 percent or less
SUBMI

Answers

Answer: A: 30 percent or less

Explanation:

Income experts suggest that people should spend 30 percent or less of their total income over their rent or mortgage payments. Hence, option A holds true.

What is a rent or a mortgage payment?

Making payment for the purpose of possession of an asset, which is not owned by such individual making the payment, is known as a rent or a mortgage payment. It only implies the right to use such asset in a manner prescribed.

Rent or mortgage payments are recurring in nature, and are to be paid out of the monthly income made by an individual. In order to lead a financially sound life, they shall not cross 30 percent of the total income.

Hence, option A holds true regarding the rent or mortgage payment.

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If 10-year t-bonds have a yield of 6. 2%, 10-year corporate bonds yield 8. 5%, the maturity risk premium on all 10-year bonds is 1. 3%, and corporate bonds have a 0. 4% liquidity premium versus a zero liquidity premium for t-bonds, what is the default risk premium on the corporate bond?.

Answers

The default risk premium on corporate bonds is 1.90%.

The default risk premium is the additional amount of the interest rate paid by the borrower to the lender/investor as compensation for the borrower's higher credit risk assuming his failure to repay the principal amount in the future and can be mathematically explained as the difference between the interest rates. interest paid on bonds and a risk-free rate of return.

The default risk premium (DRP) serves as a compensatory payment to the investor or lender if, in any case, the borrower defaults on his debt. DRP generally applies to bonds. Any lender will charge a higher premium if there is a possibility that the borrower will default on its debt payments, i.e., default on recurring interest payments or principal amounts according to agreed terms and conditions. This acts as an incentive for the lender as he gets more rewarded for the risk taken.

Default risk premium formula = Interest rate - risk free rate

Default risk premium = 8,5%-(0,4%+6,2%)

Default risk premium = 1,9%

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Primetime Incorporated is a retailer of sporting gear. It sells 500 pairs of a specific Nike sneaker each day. Nike, the supplier, takes a week (7 days) to deliver the order. For what quantity should the inventory manager place his/her next order?​

Answers

Answer:

3500 units

Explanation:

The quantity at which the Primetime inventory manager places his/her next order is the reorder point.

The reorder point is the minimum quantity of inventory that a business should have in its store.

The reorder point is calculated using the formula below.

(Average daily unit sales x delivery lead time) + safety stock

For Primetime, safety stock is not mentioned

reorder point =500 units x 7 days

=3500 units

A customer makes a purchase of $22,100 of acme income fund in her margin account. the customer must deposit: _________

a. $5,525

b. $6,630

c. $11,050

d. $22,100

Answers

A customer makes a purchase of $22,100 of acme income fund in her margin account. the customer must deposit $5,525.

To determine the customer's required deposit in her margin account for a $22,100 purchase of Acme Income Fund, we need to consider the margin requirement set by the brokerage firm. The margin requirement represents the portion of the purchase price that the customer must deposit herself, while the remaining amount is funded by the broker as a loan.

The margin requirement is typically expressed as a percentage of the purchase price, known as the initial margin requirement. Let's assume the initial margin requirement for the Acme Income Fund is 25%.

To calculate the required deposit, we multiply the purchase price by the margin requirement:

Required Deposit = Purchase Price * Initial Margin Requirement

Required Deposit = $22,100 * 0.25

Required Deposit = $5,525

Therefore, the customer must deposit $5,525 into her margin account (Option a) to cover the initial margin requirement for the $22,100 purchase of Acme Income Fund. This amount represents 25% of the purchase price, while the remaining 75% is funded by the broker as a loan.

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an arm loan for 30 years at an annual interest rate of 4% and a balance of $50,000 was made. suppose the market index rises at the end of one year and the new interest rate on the arm is 6%. what is the new monthly payment on the outstanding loan balance for the remaining 29 years?

Answers

The new monthly payment for the remaining 29 years of the loan total is $298.16.

The term "Loan Amount" refers to the sum of money we currently owe you for this mortgage. The loan amount may also include other fees, interest on other fees, defaulted payments, interest on defaulted payments, unpaid principal, and interest on the unpaid principal.

The Initial Monthly Payment (PMT) is calculated using inputs in the first step.

PV = Original loan amount = $50,000

Nper = 30*12

Rate = 4%/12

The Balance after One Year (FV) is calculated utilizing

PV = Initial balance = $50,000

Nper = 1*12

PMT = Calculated in 1st step

Rate = 4%/12

Inputs are used to calculate The New Monthly Payment (PMT).

PV = Balance one year later (calculated in Step 2)

Nper = 29*12

Interest rate = 6%/12

Final Amount = $298.16

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an arm loan for 30 years at an annual interest rate of 4% and a balance of $50,000 was made. suppose

what are the outputs of the production process with regards to goods and services​

Answers

Answer: they will go faster

Explanation: it does a thing.

is the state of matter with the highest temperature

Answers

Answer: gas
Explanation: GAS is the state of matter with the HIGHEST temperature and the LOWEST density.

“The most contrarian thing of all is not to oppose the crowd but to think for yourself.”

What does the quote means?

Answers

the quote about contrarian means, when everyone learns the same lessons, applying them to a religiosity perspective, there can be opportunities in the opposite direction. If everyone thinks the same thing, no one really thinks.

What is the contrarian truth?

If you can identify an illusory popular belief, you can find what's behind it: Contradictory truths. Conventional beliefs never seem arbitrary and false unless after the fact; each time we collapse, we call the old belief a bubble, but the distortions caused by the bubbles don't go away when they burst.

Who is a contrarian person?

A contrarian people is a person with contrary positions or attitudes. specifically: an investor buys a stock when most others are selling and sells when others are buying.

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Market Equilibrium: Market for gasoline

Market Equilibrium: Market for gasoline

Answers

The market for gasoline is good example of the market equilibrium.

What is market equilibrium?

Market equilibrium is the point where the supply of a particular good or service in a market is exactly equal to the demand for it. At this point, buyers and sellers are satisfied with the prevailing market price, and there is no tendency for it to change. When the price is below the equilibrium level, demand will exceed supply, and there will be a shortage of the good, leading to upward pressure on prices. Conversely, when the price is above the equilibrium level, supply will exceed demand, and there will be a surplus of the good, leading to downward pressure on prices. The market tends to adjust towards equilibrium as buyers and sellers adjust their behavior in response to price signals.

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A business collects demographic information about what potential and current customers purchase, where they live, and how they spend their time. This business is responding to the ________.

nonprofit
social environment
maximize profits for owners
A nonprofit business

Answers

The business is responding to the social environment. So, correct option is B.

The social environment refers to the societal factors and influences that impact individuals' behaviors, attitudes, and preferences. It encompasses various aspects such as cultural norms, values, demographics, lifestyle patterns, and consumer behaviors.

Understanding the social environment is crucial for businesses to effectively meet the needs and desires of their target customers.

By collecting demographic information about potential and current customers' purchasing habits, geographic location, and time allocation, the business aims to gain insights into the social context in which its customers operate. This information helps the business understand customer preferences, tailor its products or services to align with their needs, and develop targeted marketing strategies.

By responding to the social environment, the business aims to align its offerings with the evolving preferences and behaviors of its target customers. This enables the business to better serve its customers, enhance customer satisfaction, and ultimately maximize its chances of success and profitability.

It's worth noting that while nonprofits also collect demographic information about their target audience for the purpose of understanding and serving their needs, the question implies a business context, where the goal is to maximize profits for the owners.

So, correct option is B.

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Click this link to view the OOH educational information for Roofers. According to the OOH, what are some educational, training, certification, or licensing options required or helpful for Roofers? Check all that apply. bachelor’s degrees on-the-job training apprenticeships high-school biology, chemistry, and physics classes high-school math, shop, mechanical drawing, and blueprint-reading classes an associate degree specializing in writing

Answers

Answer:

2,3,5

Explanation:

I had the same thing and got it right (one wrong)

Answer:

2 3 5

Explanation:

One of the core conceptual models we have considered this semester is Butler’s Destination Lifecycle. With reference to a tourism destination of your choice describe two reasons why it is sometimes difficult to determine a critical carrying capacity threshold.

Answers

However, the concept of carrying capacity is not always well defined or well understood. Some researchers define carrying capacity as the number of tourists that a destination can accommodate without causing environmental degradation,

One of the core conceptual models that are considered in tourism is Butler’s Destination Lifecycle. In relation to a tourism destination of your choice, there are two reasons why it is sometimes difficult to determine a critical carrying capacity threshold. These reasons are conceptual.The first reason is that carrying capacity is a conceptual term that is often difficult to determine. The carrying capacity of a destination depends on a range of factors such as the characteristics of the destination, the type of tourists that visit, and the tourist’s behavior. It is often difficult to determine the carrying capacity of a destination because of the complexity of these factors. The carrying capacity of a destination is not fixed; it can change over time due to changes in the destination’s environment.The second reason why it is sometimes difficult to determine a critical carrying capacity threshold is that carrying capacity is sometimes difficult to describe.

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4. If your checking account's balance is
$3,678.89 and you withdraw $1,514, what
is the remaining balance?
A $2,164.89
B $5,192.89
C$2,614.89
D $3,678.89
(Step by step ) please

Answers

A. $2164.89
Basically just subtract, 3,678.89-1514 = 2,164.89

cash equivalents: a. include accounts receivable. b. include investments due in twenty months. c. include long-term investments. d. are readily convertible to a known cash amount. e. include accounts payable.

Answers

Cash equivalents are are readily convertible to a known cash amount. This means that option D is the correct answer.

Cash equivalents are assets that are readily convertible to a known cash amount and have a short-term maturity of typically three months or less. Cash equivalents can include investments such as treasury bills or commercial paper, but they do not include long-term investments. Accounts receivable are not considered cash equivalents because they are not readily convertible to cash. Similarly, accounts payable are liabilities, not assets, and are not included in cash equivalents.

Finally, investments due in twenty months are not considered cash equivalents because they do not have a short-term maturity.

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Cash equivalents are financial instruments that are readily convertible to a known cash amount, with original maturities of three months or less.

They are considered as highly liquid assets and are an important part of an organization's cash management strategy. Examples of cash equivalents include treasury bills, money market funds, and commercial paper.

Accounts receivable and accounts payable are not considered as cash equivalents because they are not readily convertible to a known cash amount. Accounts receivable represent money owed to a company by its customers and can take time to collect. On the other hand, accounts payable represent money owed by a company to its vendors and suppliers and are not considered as cash equivalents because they represent an obligation to pay rather than a readily convertible asset.

Investments due in twenty months and long-term investments are also not considered as cash equivalents because they have original maturities longer than three months. Although they may be readily convertible to cash, they do not meet the criteria for cash equivalents due to their longer-term nature.

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