In the long-run the inputs of all the factors of production can be varied by the firm, consequently, firms can combine the factors of production more ______________ and, therefore, costs in the long-run are lower than in the short-run.

Answers

Answer 1

Answer:

Efficiently

Explanation:

In production, long run is simply the period of time that is long enough for all inputs to be changed. While short run is the time frame, usually so brief, a firm cannot change the amount of every input. Usually, in In the short run, some inputs are fixed, while in the long run, all inputs are variable and Profit maximization can only occur with minimization of costs of inputs.

Firms can combine the factors of production more in the long-run the inputs of all the factors of production and also In a long run, it can alter ot change variousproduction levels due to various economic profits or losses in view.


Related Questions

If you have 1-year rate is 8%, 2-year rate is 9%, and 3-year rate is 10%. Assume that the pure expectations theory for the term structure of interest rates holds, no liquidity or maturity premium exists. What is implied 1 year rate 2 year from now?

a. 9%
b. 10%
c. 11%
d. 12%

Answers

Answer:

1 year rate 2 year from now = 12%  (Approx)

Explanation:

Given:

1-year rate = 8%

2-year rate = 9%

3-year rate = 10%

Computation:

According to Pure Expectations Hypothesis,

(1 + 3-year rate)³ = (1 + 2-year rate)² (1 + 1 year rate 2 year from now)

(1.10)³ = (1 + 1.09)²(1 + 1 year rate 2 year from now)

1.331 = 1.1881 (1 + 1 year rate 2 year from now)

(1 + 1 year rate 2 year from now)  = 1.12

1 year rate 2 year from now = 0.12

1 year rate 2 year from now = 12%  (Approx)

what is the SELF DETERMINATION THEORY?

Answers

Explanation:

Self-determination theory (SDT) is a macro theory of human motivation and personality that concerns people's inherent growth tendencies and innate psychological needs.

Answer:

HiiiHERE'S YOUR ANSWER

Explanation:

Self-determination theory is a psychological framework for understanding human motivation. It was developed by psychologists Richard Ryan and Edward Deci and grew out of research on intrinsic motivation, or the internal desire to do something for its own sake, not for an external reward. Self-determination theory states that people are driven by three basic psychological needs: autonomy, competence, and relatedness.

HOPE IT HELPS YOU OUT PLEASE MARK IT AS BRAINLIEST AND FOLLOW ME PROMISE YOU TO FOLLOW BACK ON BRAINLY.IN

compare and contract between Sear's STORE and Aldi's STORE

Answers

aldis is a grocery’s store and sears is a clothings store. they’re both stores

On January 1, 1997, an investment account is worth 100,000. On April 1, 1997, the value has increased to 103,000 and 8,000 is withdrawn. On January 1, 1999, the account is worth 103,992. Assuming a dollar weighted method for 1997 and a time weighted method for 1998, the annual effective interest rate was equal to x for both 1997 and 1998.Calculate x.(A) 6.0% (B) 6.25% (C) 6.50% (D) 6.75% (E) 7.0%

Answers

Answer:

(B) 6.25%

Explanation:

January 1, 1997 = $100,000

April 1. 1997 = $103,000 - $8,000 = $95,000

January 1, 1999 = $103,992

annual interest rate for 1997 = i = (x - 100,000 + 8,000) / [100,000 - 8,000(1 - ³/₁₂) = (x - 100,000 + 8,000) / [100,000 - 8,000(1 - 0.25) = (x - 92,000) / 94,000

x = 92,000 + 94,000i

annual interest rate for 1998 = 1 + i = 103,992/x

x = 103,992/(1 + i)

0 = x(1 + i) - 103,992

now we replace x by 92,000 + 94,000i

0 = (92,000 + 94,000i)(1 + i) - 103,992

0 = (94,000 (1 + i) - 2,000)(1 + i) - 103,992

we now replace 1 + i by Y

0 = (94,000Y - 2,000)Y - 103,992

0 = 94,000Y² - 2,000Y - 103,992

using a calculator, Y = 6.25%

Given the following:
Number purchased Cost per Unit Total
January 1 inventory 40 $4 $160
April 1 60 7 420
June 1 50 8 400
November 1 55 9 495
205 1,475
a. Calculate the cost of ending inventory using the weighted-average method (ending inventory shows 61 units). (Round the "average unit cost" and final answer to the nearest cent.)
Cost of ending inventory
b. Calculate the cost of goods sold using the weighted-average method. (Round your intermediate calculations and final answer to the nearest cent.)
Cost of goods sold

Answers

Answer:

a) The cost of ending inventory using the weighted-average method is:

$439.20

b) The cost of goods sold using the weighted-average method is:

$10,36.80

Explanation:

a) Data and Calculations:

                         Number purchased   Cost per Unit     Total

January 1 inventory       40                       $4                 $160

April 1                             60                         7                   420

June 1                            50                         8                   400

November 1                   55                        9                    495

Total                            205                                          $1,475

Weighted-average cost per unit = $1,475/205 = $7.20

Ending inventory = 61 units * $7.20 = $439.20

Cost of goods sold = 144 units * $7.20 = $10,36.80

b) The weighted-average method allocates the cost of inventory and the cost of goods sold using an average that is based on the total cost of goods available for sale (beginning inventory plus purchases) divided by the total units available for sale.

Tasty Subs acquired a delivery truck on October 1, 2021, for $22,500. The company estimates a residual value of $2,700 and a six-year service life. Required: Calculate depreciation expense using the straight-line method for 2021 and 2022, assuming a December 31 year-end.

Answers

Answer: Depreciation expense for 2021 = $825

Depreciation expense for 2022 =$3, 300

Explanation:

Using  Straight line depreciation

We have that our Annual depreciation= Purchase price - salvage value / useful life.

$22,500 - $2,700 / 6

=19,800/6

$3, 300

Depreciation expense for 2021  ( from October to December )

$3,300 x 3/ 12= $9,900/12

=$825

Depreciation expense for 2022 (  From January  to December)

Annual Depreciation = $3,300

Which trade bloc was created to encourage free trade and economiccooperation between Canada, Mexico, and the United States?
A. CAFTA-DR
B. NAFTA
C. ASEAN
D. The EU

Answers

Answer:

B. NAFTA

Explanation:

North American Free Trade Agreement (NAFTA) is a regional agreement between the Government of Canada, the Government of the United Mexican States, and the Government of the United States of America that created a free trade zone.

NAFTA administers the mechanisms stipulated in the Treaty to resolve commercial disputes between national industries or the governments of the party countries in a timely and impartial manner.

Answer:

B. NAFTA

Explanation:

Just got it right!

You have recently earned an hourly pay raise. As your wages increase, the opportunity cost of going to the beach rather than working:
A. decreases.
B. stays the same.
C. is limited by the income effect.
D. increases.

Answers

It all depends. If you’re going to buy drinks and tons of bathing suits then it decreases. But if you plan on going to beach just to get a tan then it’ll increase. But than again if you choose to go to the beach instead of working then it would be C

A new company has inventory data for an item purchased during the year. The year-end ending inventory is 1,000 units. Using the periodic system, average cost method, what is the cost of the merchandise inventory at year-end? The purchase activity is as follows:

Date No. of Items Purchased Cost/Unit Total Cost

Jan. 16 800 $7.00 $ 5,600
Mar. 18 2,200 $8.00 17,600
Nov. 23 2,000 $9.00 18,000

Total 5,000 $41,200

Answers

Answer:

$8,240

Explanation:

The computation of the ending inventory using the average cost method under a periodic system is shown below:

But before that first determine the weighted average cost per unit which is

The Weighted average cost per unit

= $41,200 ÷ 5,000  units

= $8.24 per unit

Now the ending inventory is

= 1,000 units × $8.24 per unit

= $8,240

According to the PLC, the ________ stage is reached when sales plunge to zero, or when they drop to a low level where they continue for many years.
A) laggard
B) decline
C) maturity
D) growth
E) incubation

Answers

The Incubation because it drop to a low level so it’s E
Answer: the answer is B) decline

Consider an investor facing a 38% marginal tax rate who purchases a tax-exempt issue with a yield of 4.25%. What is equivalent taxable yield of his investment?A. 11.18% B. 4.25% C. 1.62% D. 6.85% E. 2.64%

Answers

Answer:

Option D

Explanation:

We can calculate the  equivalent taxable yield of investor facing a 38% marginal tax rate investment as follows

DATA

Tax rate = 38%

After tax yield = 4.25%

Solution

Let's suppose the equivalent taxable yield is x then

x(1-0.38)=4.25

x(0.62)= 4.25

x = 6.85%

Option D would be the correct answer

I am writing to respond to a problem I am becoming increasingly aware of. I cannot help but notice the growing lack of motivation among many of my fellow students. Being one of a few who bothers to try for (and achieve) A's in my classes, I am sometimes regarded as an outsider.
My message to these students is this (and you know who you are): grow up. You are being provided with a free education and you are lucky to get it. Since you are not taking advantage of this, you don't really deserve it. Your parents, your friends' parents and your neighbors all have to dish out hard-earned money to your town government, which in turn has to struggle to find a way to pay for your education, along with all of the other needs of the town. Still, you abuse the system by flunking your exams, not doing your homework, and subjecting your teacher to both verbal abuse and the difficult task of putting up with you.
You obviously aren't going to achieve anything with your life when you graduate, considering that few colleges accept students with grade point averages of zero, so you might as well stop acting like a lazy slob and begin to work at being something. You are being provided with the tools for success but you aren't using them.
It is possible to get A's on your report card and have fun too. Some of us actually survive the day without once threatening a teacher. There are students with some disabilities who manage good marks, but this is possible only because they try. You are obviously in a more advantageous situation than these students, so why is it you're not doing the same?
It takes just as much effort to hide that report card from your parents as it does to open up your textbook and read the script within. It's better to worry about how you can improve your test scores than to have to worry about how you can alter them to make it appear as though you passed.
There are many children throughout the world who would jump at the chance to receive an education, yet you, the underachiever, go to school at absolutely no personal expense every day. Not everyone can become the next NBA super star, the rest of us have to work at getting anywhere in life. Stop wasting the town's tax dollars by lounging around all day, and start improving your attitude and workmanship before it's too late.

Answers

Answer:

The motivation of a person depends on himself. The best way to keep your self motivated is to set goals and then monitor your performance against them.

Explanation:

Many people find it difficult to concentrate on studies. They are distracted by the social media and other gaming activities but one should think carefully that all these social media and games do not ruin your future. If a person does not study today he will not be able to achieve and secure a good job later in future leading to lifetime regrets.

how do i get my grade higher.60-80 and 70-80
my parents said i cant do anything till there 80s
please help me i want to play with my cousin.
NEED THIS INFORMATION ASAP

Answers

You can always makeup work that you got a low grade on. You can do extra credit or finish the work you haven’t turned in (if you have anything) :)
Ask for some extra credit maybe or do missing assignments? It should help a little bit

Over the next three years, Distant Groves wl pay annual dividends of $.65, S.70, and $.75 a share, respectively. After that, dividends are projected to Increase by 2 percent per year. What is one share of this stock worth today at a required return of 14.5 percent?
a) $5.49
b) $5.94
c) $5.68
d) $5.55
e) $5.86

Answers

Answer:

c) $5.68

Explanation:

The worth of this stock today is the present value of the future dividends which is computed by discounting future dividends as well as the terminal value using the required rate of return of 14.5% as the appropriate discount rate as shown thus:

Year 1 dividend=$.65

Year 2 dividend=$0.70

Year 3 dividend=$0.75

terminal value of dividends=Year 3 dividend*(1+g)/Ke-g

g=dividend terminal growth rate=2%

Ke=required rate of return=14.5%

terminal value of dividends=$0.75*(1+2%)/(14.5%-2%)=$ 6.12  

Share price=$.65/(1+14.5%)^1+$.70/(1+14.5%)^2+$.75/(1+14.5%)^3+$6.12/(1+14.5%)^3

share price=$5.68  

Judy's Boutique just paid an annual dividend of $2.59 on its common stock. The firm increases its dividend by 3.35 percent annually. What is the company's cost of equity if the current stock price is $39.40 per share?

Answers

Answer:

$29.00

actually pis.O dapat

Henri earned a salary of $50,000 in 2001 and $70,000 in 2006. The consumer price index was 177 in 2001 and 265.5 in 2006. Henri's 2001 salary in 2006 dollars is:______

a. $35,000.00.
b. $46,666.67.
c. $105,000.00.
d. $61,950.00

Answers

Answer:

$46,666.67

Explanation:

Henri earned a salary of $50,000 in 2001

He earned $70,000 in 2006

The consumer price index in 2001 was 177 and in 2006 was 265.5

Therefore his salary in 2001 can be calculated as follows

= 70,000/265.5 × 177

= 263.65 × 177

= 46,666.67

why banks exist as financial intermediaries.

Answers

Answer:

Banks act as financial intermediaries because they stand between savers and borrowers. Savers place deposits with banks, and then receive interest payments and withdraw money. Borrowers receive loans from banks and repay the loans with interest.

Explanation:

;)

Examples of physical capital include _______________________. Examples of human capital include ______________________________.
A) knowledge one picks up through education and training; factories and computers
B) machines and factories; chairs and desks
C) knowledge one picks up through education and experience; factories and machines
D) machines and factories; knowledge one picks up through education and training

Answers

Answer:

D) machines and factories; knowledge one picks up through education and training

Explanation:

The physical capital is the capital that has the physical existence i.e. tangible. It could be seen, feel, or even touched. examples like plant, machinery etc

While on the other hand the human capital is intangible it only effects the production and the operations

Like - skills, knowledge, experience of a worker

Therefore the option D is correct

Taxable Equivalent Yield What's the taxable equivalent yield on a municipal bond with a yield to maturity of 4.25 percent for an investor in the 28 percent marginal tax bracket? (Round your answer to 2 decimal places.)

Answers

Answer: 5.90%

Explanation:

From the question, we are informed that we should calculate a taxable equivalent yield on a municipal bond with a yield to maturity of 4.25 percent for an investor in the 28 percent marginal tax bracket. This will be:

Taxable equivalent yield = Tax free municipal bond yield / 1 - Tax rate

= 4.25% / (1 - 28%)

= 0.0425 / (1 - 0.28)

= 0.0425 / 0.72

= 0.0590278

= 5.90%

The central concept in decentralization is that the people at the top of the organization should have the primary decision making role because they know what is best for the organization as a whole. This statement is:______a. true.
b. false.

Answers

Answer:

The correct answer is the option B: False.

Explanation:

To begin with, the concept known as "Descentralization" in the field of business and management refers to the whole opposite situation. The process of descentralization focus on the fact of letting other make the decisions, meaning that the decision making process starts from the higher levels but later it goes down to the lower levels of the company by letting those other employees or lower managers to adjust the decision made from above to their own ideas of how to make the decision a reality. Therefore that in this concept the important thing to have in mind is to magnify the number of trusted people that can take the decision and knowing that it is a good way to approach it.

Taunton's is an all-equity firm that has 155,500 shares of stock outstanding. The CFO is considering borrowing $287,000 at 7 percent interest to repurchase 24,500 shares. Ignoring taxes, what is the value of the firm?

a- 1,821,571

b- 1,908,313

c- 2,081,796

d-2,241,934

e- 2,354,031

Answers

Answer:

a. 1,821,571

Explanation:

Repurchase of shares = 24,500 shares

Share price per share = $287,000/24,500 = $11.7143

Value of the firm = 155,500*11.7143 = $1,821,571

RATE MEEEEEEEEEEEEEEEEEEEEEEEEEEEEEEEEEEEEEE

Answers

Answer:

yeah those are just sentences

if that is accually your face i would be worried

Accounts receivable has a $2,300 balance, and the Allowance for doubtful accounts has a $200 credit balance. An $80 account receivable is written off. The net book value of receivables on the balance sheet after the write-off equals ______.

Answers

Answer:

$40

Explanation:

The netbook value of receivable is calculated as

= Account receive balance + Allowance for doubtful account

On November 1, Mcgonagall borrowed from Dumbledore, giving him a $12,000, 3 month, 9% note, interest payable at maturity. Mcgonagall made no entry after November 1.
On December 31, the end of the accounting period, what entry would Mcgonagall make?
A. Interest Payable 180
Interest Expense 180
B. Interest Expense 180
Interest Payable 180
C. Interest Expense 180
Cash 180
D. Interest Payable 180
Discount on Notes Payable 180

Answers

Answer:

B) Interest Expense 180

Interest Payable 180

Explanation:

Based on the information given we were told that On November 1, Mcgonagall borrowed from Dumbledore which includes the amount of $12,000, as well as 3 month, and 9% note in a situation where the interest is payable at maturity and Mcgonagall made no entry after November 1 which means that On December 31, which is the end of the accounting period the Journal entry that Mcgonagall would make will be :

Dr Interest Expense 180

Cr Interest Payable 180

($12,000 x 9% x 2/12 )

If fixed costs are $300,000, the unit selling price is $25, and the unit variable costs are $20, what is the break-even sales (units) if the variable costs are decreased by $2?

a. 42,857 units
b. 17,143 units
c. 60,000 units
d. 100,000 units

Answers

Answer:

a. 42,857 units

Explanation:

Given that;

Fixed cost = $300,000

Unit Variable cost = $20

Since the variable costs are decreased by $2.

Then unit variable cost would be

= $20 - $2

= $18

Break even sales (units) is computed as;

= Fixed cost / Contribution margin

= $300,000 / [$25 -$18]

= $300,000 / $7

= 42,857 units

Suppose that Tyler is an entrepreneur. He works as an economic consultant and because of his quick wit, mastery of economics, and dashing good-looks, Tyler is offered a position that pays $7,000 per month. Tyler declines this offer because he thinks it is less than a normal profit. What does this mean? A) Tyler's dad worked as an economic consultant during the 1980s and earned a higher salary then (controlling for inflation). A normal profit implies that the incomes of people in similar industries should be similar over time. B) Tyler would have to give up the chance to earn more than $7,000 if he were to o accept this position. A normal profit refers to the profit that an entrepreneur can expect to earn in other business opportunities. C) Tyler's wife works as a legal consultant and she is paid more than $7,000 per month. A normal profit implies that consultants in all industries earn the same amount. D) Egnomists aren't normal and don't like earning money in the same way that other people do. E) Tyler's friend works in Europe as an economic consultant and earns a higher salary. The $7,000 per month must be less than a normal profit if European consultants are being paid more.

Answers

Answer:

B) Tyler would have to give up the chance to earn more than $7,000 if he were to accept this position. A normal profit refers to the profit that an entrepreneur can expect to earn in other business opportunities.

Explanation:

Since in the question it is mentioned that Tyler is an entrepreneur and works as a consultant of economics. As taylor offered a position where he received $7,000 per month but he declines it as he knows that he can earn above $7,000 so he should give him a chance to earn above $7,000.

But in this case if he accept that he will get a lower of normal profit so he should look other business opportunities in order to earn more than $7,000

Therefore the correct option is b.

You just borrowed $7,500 and are charged a simple interest rate of 8%. How much interest do you pay each year?

Answers

Answer:

Interest per year = $600

Explanation:

Given:

Amount invested = $7,500

rate of interest = 8%

Find:

Interest per year

Computation:

Interest per year = Amount invested x rate of interest

Interest per year = $7,500 x 8 %

Interest per year = $600

Harry Corporation just paid a dividend of $10.18 per share and dividends are expected to grow at a constant rate of 6 percent forever. If the required rate of return is 12 percent, what is a fair price for Harry Corporation's stocks today?

Answers

Answer:

Stock Price= $169.67

Explanation:

Giving the following information:

Dividen= $10.18

Growht rate (g)= 0.06

Rate of return (i)= 0.12

To calculate the price today, we need to use the following formula:

Stock Price= dividend / (i - g)

Stock Price= 10.18 / (0.12 - 0.06)

Stock Price= $169.67

The following terms relate to independent bond issues:
500 bonds; $1,000 face value; 8% stated rate; 5 years; annual interest payments.
500 bonds; $1,000 face value; 8% stated rate; 5 years; semi-annual interest payments.
800 bonds; $1,000 face value; 8% stated rate; 10 years; semi-annual interest payments.
2,000 bonds; $500 face value; 12% stated rate; 15 years; semi-annual interest payments.
Required:
Assuming the market rate of interest is 10%, calculate the selling price for each bond issue. Refer to the tables above for present value factors.

Answers

The selling price for each independent bond issuance is determined using the PV calculations as follows:

1st Bond's Selling Price = $303/26

2nd Bond's Selling Price = $308.87

3rd Bond's Selling Price = $498.49

4th Bond's Selling Price = $282.81

How are bonds' prices determined?

The price of a bond is determined by discounting the expected cash flows to their present value using the discount (market) rate.

This can be achieved by calculating the present value of the bond using the present value annuity factor, table.

We can also use an online finance calculator as follows:

Data and Calculations:

Market rate = 10%

First Bond Issuance:

N (# of periods) = 5 years

I/Y (Interest per year) = 10%

PMT (Periodic Payment) = $80 ($1,000 x 8%)

FV (Future Value) = $0

Results:

PV = $303.26

Sum of all periodic payments = $400 ($80 x 5)

Total Interest = $96.74

Second Bond Issuance:

N (# of periods) = 10 (5 years x 2)

I/Y (Interest per year) = 10%

PMT (Periodic Payment) = $40 ($1,000 x 8% x 1/2)

FV (Future Value) = $0

Results:

PV = $308.87

Sum of all periodic payments = $400 ($80 x 5)

Total Interest = $91.13

Third Bond Issuance:

N (# of periods) = 20 (10 years x 2)

I/Y (Interest per year) = 10%

PMT (Periodic Payment) = $40 ($1,000 x 8% x 1/2)

FV (Future Value) = $0

Results:

PV = $498.49

Sum of all periodic payments = $800 ($40 x 20)

Total Interest = $301.51

Fourth Bond Issuance:

N (# of periods) = 30 (15 years x 2)

I/Y (Interest per year) = 12%

PMT (Periodic Payment) = $30 ($500 x 12% x 1/2)

FV (Future Value) = $0

Results:

PV = $282.81

Sum of all periodic payments = $900 ($30 x 30)

Total Interest = $617.19

Learn more about determining the price of a bond at https://brainly.com/question/15567868

#SPJ1

Suppose the interest rate on your car loan is 15.00 percent and the inflation rate is 14.00 percent. Calculate the real interest rate.

Answers

Answer:Real Interest rate= 1%

Explanation:

Real interest rate is an adjusted  rate of interest  in which the effects of inflation has been removed. For an investor, real interest rate can  allow for real yield of fund  and for the borrower,  the real cost of the fund after the maturity dates.  Also, depending on the  volatility ( variations ) in inflation  real interest rate also can  pose  a risk or certainty  to both parties.

Using the Fisher equation,

Real Interest rate = Nominal interest rate - the actual inflation rate.

= 15.00 % - 14.00%

= 1%

Other Questions
The table represents some points on the graph of a linear function. Which equation represents the same relationship?A. y+286=1/12(x+20)B. y+20=1/12(x+268)C. y+268=12(x+20)D. y+20=12(x+268) - 20-3AEvaluateg (-6) forthe graph of g (h)-6-9-12-15to the right-18-21-24-27-30A. 39B. 20C. 33-33-3639 How does the motto No taxation without representation in paragraph 5 contribute to the development of the central ideas of the text? Cite evidence from the text in your answer. subtracting 1 from the product of 5 and x gives the same value as adding 10 to the product of 3 and x. record your answers pls help Describe your approach to solving a given triangle. Include specific details about what you look for and how you start the problem. What are the important pieces of information that affect how you solve the triangle?(edginuity) Which practice would most likely increase the level of cleanliness in a hospital?O workers reusing latex gloves to reduce the amount of wasteO workers following specific procedures when they handle sharp objectsO workers washing their hands continuously throughout the dayO workers reporting broken equipment to their superiors According to classical mythology, before there was Earth there was Chaos, a huge mass of soil, rivers, oceans, the sky, etc. all jumbled up together.True or False Subject: Mythology Picture in question Jackson buys a softball for $15 plus a 6% tax. Avery buys a volleyball for $13 plus a 6% tax. Enter the difference in the amount Jackson and Avery paid, including tax. Round your answer to the nearest cent. Describe the difference in recreational and tourism opportunities between the coastal plains and the piedmont region Which of the following statements best describes agriculture (food production, such as herding and farming) in Africa today?A.Africa imports most of its food because most people work in manufacturing industries.B.Africa leads the world in agricultural production, and exports extra food to other areas.C.Africa has struggled with overfarming and overgrazing, making it difficult to produce enough food for its population.D.Africa has a few agricultural challenges, but it can generally produce enough food for everyone.Please select the best answer from the choices providedABCD What caused abrasion? The amounts of e-waste generated in a region during two years were 14,200,000 tons and 10,700,000 tons. What was the total e-waste generated over these two years in the region, expressed in scientific notation? (5 points) A search committee is formed to find a new software engineer.a) if 100 applicants apply for the job, how many ways are there to select a subset of 9 for a short list?b) If 6 of the 9 are selected for an interview, how many ways are there to pick the set of people who are interviewed?c) Based on the interveiw, the committe wil rank the top three candidates and submit the list to their boss who will make the final decision. How many ways are there to select the list from the 6 interviews? What struggle do immigrants have? What are your mathematical impressions of the inkblots shown in the picture above? Temperatures do not vary much from place to place on the Indian Subcontinent.T or F? Does the equation y=x/2represent a proportional relationship? You find that the victim is not responsive, not breathing normally, and you've called 911. What is your next treatment?-Begin rescue breathing and then check for a pulse after two minutes-Begin abdominal thrusts to clear the airway. Then check for a pulse-Begin chest compressions at a rate of 100-120 per minute and give 2 rescue breaths after every 30 compressions-Give rescue breaths at a rate of 1 every 5 seconds until the victim begins to respond (02.07 HC)Listen to the following paragraph and select the correct answer to the question:0:40 10:421xWhat does Anne's cousin like?O She likes to play soccer.O She likes to eat out on SaturdayShe likes to listen to music.She likes to watch movies.