In the month of June, Bedford Company sold 350 widgets. The average sales price was $34. During the month, fixed costs were $6,320 and variable costs were 40% of sales. Instructions:A. Determine the contribution margin in dollars, per unit, and as a ratio.B. Compute the break-even point in units and dollars.C. How much can sales decline before Bedford Company experiences a loss? D. What would be the sales dollars and number of units sold if Bedford Company wishes to have a target profit of $4,000?

Answers

Answer 1

Answer:

Results are below.

Explanation:

Giving the following information:

In June, Bedford Company sold 350 widgets. The average sales price was $34. During the month, fixed costs were $6,320 and variable costs were 40% of sales.

First, we need to calculate the unitary variable cost:

Unitary variable cost= 34*0.4= $13.6

Now, we can determine the contribution margin per unit and the contribution margin ratio:

contribution margin per unit= selling price - unitary variable cost

contribution margin per unit= 34 - 13.6= $20.4

contribution margin ratio= contribution margin per unit/selling price

contribution margin ratio= 20.4/34

contribution margin ratio= 0.6

To calculate the break-even point in units and dollars, we need to use the following formula:

Break-even point in units= fixed costs/ contribution margin per unit

Break-even point in units= 6,320/20.4

Break-even point in units= 310 units

Break-even point (dollars)= fixed costs/ contribution margin ratio

Break-even point (dollars)= 6,320/0.6

Break-even point (dollars)= $10,533

To calculate the margin of safety, we will use the following formula:

Margin of safety= (current sales level - break-even point)

Margin of safety= 350*34 - 10,533

Margin of safety= $1,367

Finally, the desired profit is $4,000:

Break-even point in units= (fixed costs + desired profit) / contribution margin per unit

Break-even point in units=  (6,320 + 4,000) / 20.4

Break-even point in units= 506 units

Break-even point (dollars)= (fixed costs + desired profit)/ contribution margin ratio

Break-even point (dollars)= 10,320/0.6

Break-even point (dollars)= $17,200


Related Questions

1. Why might someone believe the business world needs exterior ethical monitoring and correction?2. What is the argument that the business world can regulate itself, and why is that an ethics?3. In your own words, why is business ethics unavoidable?

Answers

Explanation:

Business ethics are inevitable, since all human behavior in society comes from ethical principles, that is, ethics is inherent to every individual and guides personal or professional relationships.

It is believed that the business world needs external ethical monitoring and correction due to the fact that, there is a view that companies are looking for profit above all else, which could use unethical behavior to achieve their goals and goals, using fraud and cheating to be more competitive and profitable, and external ethical monitoring and correction are then responsible for controlling such advantage-gaining maneuvers.

Therefore, there is an argument for self-regulation in the business world and this is an ethics in the sense that the market will regulate unethical actions, since there is a social search for what is ethical and responsible, which generates an collective force that transmutes behavior and leads companies to regulate themselves so that they are agents of behavior valued by their stakeholders.

Identify the key elements in McDonald's global expansion strategy.

Answers

Answer:

The Plan to Win initiative is built around five factors that drive McDonald's business: people, products, place, price, and promotion.

Incomplete manufacturing costs, expenses, and selling data for two different cases are as follows.Incomplete manufacturing costs, expenses, and sellIncomplete manufacturing costs, expenses, and sell Collapse question part(a) Indicate the missing amount for each letter.Case12Direct materials used $9,600 $Direct labor 5,000 8,000 Manufacturing overhead 8,000 4,000 Total manufacturing costs 16,000 Beginning work in process inventory 1,000 Ending work in process inventory 3,000 Sales revenue 24,500 Sales discounts 2,500 1,400 Cost of goods manufactured 17,000 22,000 Beginning finished goods inventory 3,300 Goods available for sale 20,000 Cost of goods sold Ending finished goods inventory 3,400 2,500 Gross profit 7,000 Operating expenses 2,500 Net income 5,000b) Prepare a condensed cost of goods manaufactures schdule ffor Case1c1) Prepare an Income statement for Case 1c2) Prepare the current assets section of the balance sheet for Case1. Assume that in Case 1 the other items in the current assets section are as follows: Cash $4,000, Receivables (net) $15,000, Raw Materials $600 and Prepaid Expenses $400.

Answers

Answer:

a. Incomplete Manufacturing Costs:

                                                                 Case 1          Case 2

Direct materials used                              $9,600        $ 4,000  

Direct labor                                                5,000            8,000

Manufacturing overhead                          8,000            4,000

Total manufacturing costs                     22,600           16,000

Beginning work in process inventory      1,000             9,000

Ending work in process inventory          6,600            3,000

Sales revenue                                        24,500           31,200  

Sales discounts                                        2,500             1,400

Cost of goods manufactured                 17,000         22,000

Beginning finished goods inventory      3,000            3,300

Goods available for sale                       20,000         25,300

Cost of goods sold                                16,600         22,800

Ending finished goods in inventory       3,400            2,500

Gross profit                                             5,400           7,000

Operating expenses                              2,500            2,000

Net Income                                             2,900            5,000

b. Condensed cost of goods manufactured schedule for Case 1:

Direct materials used                $9,600

Direct labor                                  5,000

Manufacturing overhead            8,000

Total manufacturing costs       22,600

Beginning WIP inventory             1,000

Ending WIP inventory                 6,600

Cost of goods manufactured $17,000

c1. Income Statement for Case 1:

Sales Revenue, net         $22,000

Cost of goods sold             16,600

Gross profit                        $5,400

Operating expenses           2,500

Net income                      $2,900

c2. Current Assets Section of the Balance Sheet for Case 1:

Cash                                    $4,000

Receivables (net)                15,000

Inventory:

Raw materials        600

WIP                      6,600

Finished Goods  3,400      10,600

Prepaid Expenses                 400

Total current assets      $30,000

Explanation:

Using the above data to calculate the missing figures, we start from the known, applying our knowledge of the elements and formula of the income statement for a manufacturing entity.  For example, the gross profit is the difference between the net sales revenue and the cost of goods sold, and the cost of goods sold is the difference between the goods available for sale and the ending inventory of finished goods.

Prompt
What is revenue?

Answers

It is gross profit.

Explanation:

revenue less all the expenses is profit. Example, you run a business you sold merchandise and the return from that merchandise is called revenue because the expenses like salary expense, depreciation, conveyance expense et cetera are not deducted from the cost of goods that you sold.

Answer:

the answer above is correct 100%

Explanation:

PlanetsProject: Scale Model of the Solar System if anybody do this project help us out

PTR#2095

How do we apply economic decision making to resources which have alternative uses?

Answers

Answer:

Almost all resources can be called the scarce. As you are using scarce you have to use scarce inherently for one purpose

Explanation:

Economic decision making to the resources have different alternative uses of those resources. For example If a city wanted to build a cricket ground then the alternative of this resource is to be leave the land. The fundamental phenomena of economy is scarcity.

From then the resources are scarce, it is said the uses of the resources can make a decision that could make a decision to use it.

for example to make beverage you have to make some scarce resources. Opportunity cost is another alternative resources that is used by people to grow their economy

_________is the part of the marketing mix that aims at satisfying consumers by providing features and benefits. (Enter one word in the blank.)

Answers

Answer:

Product

Explanation:

The marketing mix can be defined as a strategy developed by Kotler, which defines 4 essential pillars for a marketing strategy to be carried out effectively and generate positive results for a company, are the so-called 4 P's of marketing, which are: Product , place, price and promotion.

The product is what the company will offer in the market to bring you financial returns, and it must exist fulfilling a series of essential requirements for it to be successful and accepted by consumers, for this the company must carry out a series of researches that will help to shape the product according to the needs and preferences of the potential audience, and then develop a strategy that is successful and makes the product well accepted and creates value for the consumer.

If a company has a required rate of return of 15%, should the following project be accepted based on these expected cash flows below?Year 0 1 2 3 4 5 6 Cash Flow (274,000) 68,000 73,000 76,500 78,000 82,500 77,000 Please explain why or why not the company should move forward with this endeavor.

Answers

Answer:

Yes

Explanation:

In order for deciding whether the company should forward or not, we have to find out the net present value which is shown below:

Year              Cash flows             Discount factor       Present value  

0                        -274000                      1                        -274000

1                           68000                    0.8696                   59130.43

2                          73000                    0.7561                    55198.49

3                           76500                    0.6575                   50299.99

4                          78000                      0.5718                   44596.75

5                          82500                     0.4972                   41017.08

6                           77000                     0.4323                    33289.22

Total present value                                                           283531.97

Net present value                                                                9531.97

Since the net present value comes in positive so the project should be accpeted

Using time value of money tables, calculate the following.
(a) The future value of $450 six years from now at 7 percent.
(b) The future value of $900 saved each year for 10 years at 8 percent.
(c) The amount a person would have to deposit today (present value) at an interest rate of 6 percent to have $1,000 five years from now.
(d) The amount a person would have to deposit today to be able to take out $600 a year for 10 years from an account earning 8 percent.

Answers

Answer:

a. $675.33

b. $1,943.03

c. $747.26

d. $4,026.05

Explanation:

a. Future Value

Pv = - $450

Pmt = $ 0

p/yr = 1

n = 6

r = 7 %

Fv = ?

With the above parameter available, the future value, Fv is $675.33

b. Future Value

Pv = - $900

Pmt = $ 0

p/yr = 1

n = 10

r = 8 %

Fv = ?

With the above parameter available, the future value, Fv is $1,943.03

c. Principal Amount

Pv = ?

Pmt = $ 0

p/yr = 1

n = 5

r = 6 %

Fv = $1,000

With the above parameter available, the future value, Pv is $747.26

d. Principal Amount

Pv = ?

Pmt = $ 600

p/yr = 1

n = 10

r = 8 %

Fv = $0

With the above parameter available, the future value, Pv is $4,026.05

Below are the account balances for Cowboy Law Firm at the end of December.
Accounts Balances
Cash $ 3,700
Salaries expense 1,350
Accounts payable 1,700
Retained earnings 4,550
Utilities expense 1,000
Supplies 12,100
Service revenue 7,600
Common stock 4,300
Required:
Use only the appropriate accounts to prepare an income statement.

Answers

Answer:

                   Cowboy Law Firm

                   Income Statement

Service revenue                       $7,600

Expenses:

Salaries expense    $1,350

Utilities expense     $1,000  

Total expenses                         $2,350

Net income                     $5,250

The preparation of the income statement for the year ended December 31 is as follows:

Cowboy Law Firm

                  Income Statement

Service revenue                       $7,600

Expenses:

Salaries expense    $1,350

Utilities expense     $1,000  

Total expenses                         ($2,350)

Net income                               $5,250

Learn more about income statement here : https://brainly.com/question/24498019

Which of the following is involved with creating an Operational Definition for a measure?A. Determine the start and stop points of a cycle time measureB. Assessing the risk of a process changeC. Determining the customer of the processD. Selecting the process team

Answers

Answer:

C. Determining the customer of the process

Explanation:

Operational Definition is a clear and detailed definition of measure adopted before the gathering and collecting of all data in a given situation. This measure is used to arrive at the conclusion of whether the data collected shows that, something is defective or not.

For each of the following, insert one or more capital letters to identify the financial statements where the item is found. Some items are found on only one statement, while others appear on more than one statement.A. Net IncomeB. End-of-period retained earnings balanceC. Depreciation expenseD. Dividends declaredA) Income StatementB) Balance SheetC) Statement of Cash FlowsD) Statement of Retained Earnings

Answers

Answer and Explanation:

The classifications are as follows

A. For net income:

Income Statement, Statement of Retained Earnings and cash flow statement in case when indirect method is followed)

B. For ending retained earning balance

Comes under Retained Earnings Statement and Balance Sheet  

C. For depreciation expense

The Income statement, and cash flow statement in case when indirect method is followed)

D. For Dividend declared

Comes under Retained Earnings statement    

For each of the following situations involving annuities, solve for the unknown. Assume that interest is compounded annually and that all annuity amounts are received at the end of each period, interest rate, and n number of years EV of $1, PV of $1, EVA of $1 PVA of $1, EVAD of $1 and PVAD of $. Use appropriate factor(s) from the tables provided. Present Value Annuity Amount i = n =1 2,600 8% 52. 507,866 135,000 ___ 43. 661,241 170,000 9% ____4. 540,000 78,557 ___ 85. 230,000 ____ 10% 4

Answers

Answer:

1) Present Value =  $10,381

2) i = 3%

3) n = 5  

4) i = 4%

5) Annuity amount = $72,558

Explanation:

Given that;

No.       Present Value       Annuity Amount         i =                n =

1.               ______                  2,600                       8%               5

2.             507,866                 135,000                     ___             4

3.              661,241                  170,000                     9%             ___

4.              540,000                 78,557                      ___             8

5.              230,000                   ____                       10%              4

Assume that interest is compounded annually and that all annuity amounts are received at the end of each period, interest rate, and n number of years EV of $1, PV of $1, EVA of $1 PVA of $1, EVAD of $1 and PVAD of $.

we know that

Present value = Annuity amount × Discount factor at i% for n years

1) Present value = 2600 × Discount factor at 8% for 5 years  

from the annuity table ( n = 5, i =8% :- 3.99271)

Present Value = 2600 × 3.99271 = $10,381

2) 507,866 = 135,000 × Discount factor at i% for 4 years  

Discount factor at i% for 4 years = 507,866 / 135,000  

Discount factor at i% for 4 years =  3.761970

Check Present value annuity table in period 4 row for 3.761970

i = 3%

     

3)  661,241 = 170,000 × Discount factor at 9% for n years  

Discount factor at 9% for n years =661,241 / 170,000  

Discount factor at 9% for n years = 3.88965  

Check Present value annuity table in 9% column for 3.88965

n = 5  

 

4) 540,000 =  78,557 × Discount factor at i% for 8 years  

Discount factor at i% for 8 years = 540,000 / 78,557  

Discount factor at i% for 8 years = 6.8739895  

Check Present value annuity table in period 8 row for 6.8739895  

i = 4%

     

5) 230,000  = Annuity amount × Discount factor at 10% for 4 years

from the annuity table ( n = 4, i =10% :- 3.169865)

230,000  = Annuity amount × 3.169865  

Annuity amount =  230,000 / 3.169865 = $72,558

Select the correct answer.
What is the average period that customers spend in a restaurant for a meal called?
OA. call-ahead seating
OB. open seating
OC. reservation
OD. residence time

Answers

Answer:

c

Explanation:

usually when ppl have to reserve things it's usually booked

What is the present value of the following cash flows at a discount rate of 9 percent?
year 1: 100,000 year 2: 150000 year 3: 200,000

Answers

Answer:

Year 1 PV = 91,743.12

Year 2 PV =126,251.99

Year 3 PV =  154,436.70  

Explanation:

The present value of future sum is the amount that ought to be invested today at interest rate compounded annually to equal the sum at the end of a particular period.

The present value of a future sum is given as follows:

PV = FV × PV (1+r)^(-n)

PV - present value

FV - Future value

r- interest rate

n- number of years

Year 1 PV = 100,000× 1.09^(-1) =91,743.12

Year 2 PV = 150,000× 1.09^(-2) =126,251.99

Year 3 PV = 200,000× 1.09^(-3) =  154,436.70  

What should you do before you approach an ATM?
Make sure it is hidden so no one will see you withdraw money.
Share a picture of your debit card with your friends.
Check for any suspicious people lurking nearby.
Ask someone nearby for help using the ATM.

Answers

Answer:
Make sure it is hidden so no one will see you withdraw money, and check for any suspicious people lurking nearby.

Explanation:
Doesn’t really need one, just make sure your money is safe.

Before approaching an ATM, it is crucial to take certain precautions. Firstly, ensure the area is not openly visible, providing some level of privacy during your transaction.

What are the precautions to take?

Secondly, never share pictures of your debit card with anyone, including friends, to protect your personal and financial information. Thirdly, be observant of your surroundings and watch out for any suspicious individuals who may be lurking nearby, as they could potentially engage in criminal activities.

Lastly, avoid seeking help from strangers at the ATM, as it is best to handle your transactions independently to minimize the risk of fraud or theft.

Read more about ATM here:

https://brainly.com/question/24471380

#SPJ6

How can mobile connectivity accelerate decision making and problem solving in an organization?

Answers

Answer: By giving information to the right user, exactly when it is needed



Explanation:

A Process Breakdown Structure can provide a reasonable alternative to a Work Breakdown structure for an extensive development project if:__________.a. There are appropriate predecessor relationships in place.b. Phase exit criteria is firmly established.c. Deliverables are tightly aligned to milestones.d. Risk planning is included early in the project.

Answers

Answer: phase exit criteria is firmly establish

Explanation:

A work breakdown structure simply has to do with the completion of tasks in order to get the final product. The aim of the work breakdown structure is to keep project members focused and achieve their goals.

Process Breakdown Structure can provide a reasonable alternative to a work breakdown structure for an extensive development project if the phase exit criteria is firmly establish.

Write 5-7 words that are similar to marketing. What words come to your mind when you think of marketing?

Answers

Answer:

sell, retail, trade, advertise, promote, buying,

Explanation:

Which oif the following statements about planned obselence is true?A. Environmentalists supports planned obsolescence.B. A company that produces a quality product would never engage in planned obsolescence. C. Style modification creates planned obsolescence.D. Planned obsolescence is for services only.E. All of the statements about planned obsolescence are true.

Answers

Answer: C. Style modification creates planned obsolescence.

Explanation:

Planned obsolescence also referred to as the premature obsolescence or built-in obsolescence is when a product is designed with a limited useful life which is artificial, so that the product later becomes obsolete after a period of time. It should be noted that style modification creates planned obsolescence as there's always need to try out new things and evolve.

If you deposit an amount of $1000 today (January 1st) and continue depositing into the account an amount growing by 5% per annum at the end of each subsequent year for five years, what balance will you have in the account at the end of the 5th year? (r = 10% p.a.)
$ 3,150
$4,150
$5,150
$6,150

Answers

Answer:

$5,525.63

Explanation:

The formula for calculating future value = A (B / r)

B = [(1 + r)^n] - 1

R = interest rate

n = number of years

((1.05)^5 - 1) / 0.05 = 5.525631

$1000 x 5.525631 = $5,525.63

Data communication applications support just-in-time delivery of goods, which reduces ________.

Answers

Answer:

inventory costs and improves the competitive edge

Explanation:

Data Communication Application is a term used to describes applications that are used for transferring messages between users over the internet, often based on mobile and PC platforms. Messages and vital information can be transferred across continents or anywhere in the world, without stress other than the cost of internet data.

Hence, Data communication applications support just-in-time delivery of goods, which reduces "inventory costs and improves the competitive edge."

A bonds price and its yield to maturity are inversely related because:________.

Answers

Answer: increase in the yield to maturity will lower a bond's coupon rate and hence its price.

Explanation:

The yield to maturity is the percentage of return that'll be paid on a bond as long as the investor holds the security till it matures.

It should be noted that the price of a bond moves inversely with the yield to maturity as a rise in the yield to maturity leads to a reduction in the bond's price and a reduction in the yield to maturity will bring about increases in price of a bond

What is efficiency? What is effectiveness? Imagine you manage a local car wash. Which criteria might you use to determine your efficiency as a manager? Which criteria might you use to determine your effectiveness?

Answers

Answer:

In business, efficiency means how well you use available resources in order to maximize results (or profits if you like). Effectiveness, on the other hand, refers to how well your company is carrying out is activities, e.g. high quality of your products, high customer satisfaction.

If I managed a car wash, I could measure efficiency by how many cars are washed per hour. Or how do our costs per car washed lower as the total amount of cars washed increases.

If I wanted to measure effectiveness, I would need to measure how well do we wash the cars, e.g. is our service excellent, good, regular, or bad. Our customers are satisfied with the way we wash their cars or not.

The difference between effectiveness and efficiency is that effectiveness corresponds to doing the task right, at the right time, and reaching established goals.

Efficiency, on the other hand, corresponds to optimizing tasks, making the process easier, faster and with reduced costs. So there is a way for a business to be effective without being efficient.

At a local car wash, an effective manager is one who knows how to manage his team to produce better results with existing resources, through quality of work, increased productivity and customer service.

It is also possible to measure the effectiveness of the location based on the achievement of goals, such as the number of cars washed in a day, cash flow, etc.

Learn more here:

https://brainly.com/question/6672666

How easy is it for other companies to mimic or emulate what Danaher does? Why?

Answers

Answer: the hhhhhhhhhhhhhhhhhhhhhh

Explanation:

Answer:

Explanation:

the hhhhhhhhhhhhhhhhhhhhhh

________ engineering has resulted in the simultaneous performance of product and process design activities.

Answers

Answer:

D) Concurrent

Explanation:

These are the options for question

A) Stepwise

B) Progressive

C) Incremental

D) Concurrent

E) Discrete

Concurrent engineering helps to develop product design and process, it allows processes to take place simultaneously during production which makes the process to be attained at short period of time with great yield in order to meet the customers expectations.

It should be noted that Concurrent engineering result in simultaneous performance of product and process design activities.

How can I apply JOB in practical ways to increase my effectiveness?

Answers

Unclear question. I inferred from a general perspective.

Explanation:

Most job applications involve a proper understanding of the job description. This allows you to compare your skills and experience with what the employer is looking for.

Also, it is important to complete all the required fields in the job application so that can state your interest in the job. Additionally, having a good social media profile that has does not have any disqualifying details, may be helpful so that employers do not look up your profile and then find reasons to dismiss your application.

Which of the following is true concerning the statement of cash flows? a. When pension expense exceeds cash funding, the difference is deducted from investing activities on the statement of cash flows.b. The FASB requires companies to classify all income taxes paid as operating cash outflows.c. Under GAAP, the purchase of land by issuing stock will be shown as a cash outflow under investing activities and a cash inflow under financing activities.d. All of these are true concerning the statement of cash flows.

Answers

Answer: a. When pension expense exceeds cash funding, the difference is deducted from investing activities.

c. Under GAAP, the purchase of land by issuing stock will be shown as a cash outflow under investing activities and a cash inflow under financing activities.

Explanation:

The cash flow statement gives information about the financing, operating, and investing, activities of a firm during a period.

Of the options, the ones that are true are:

a. When pension expense exceeds cash funding, the difference is deducted from investing activities.

c. Under GAAP, the purchase of land by issuing stock will be shown as a cash outflow under investing activities and a cash inflow under financing activities.

Therefore, options A and C is the right answer

What are the four main types of access proposed by Andersen (1997)?

Answers

Explanation:

They are:

potential accessrealized accessequitable or inequitable accessefficient and effective access

According to Andersen, Potential access refers to the availability of resources that would allow an individual to seek care if needed. The Realized access is viewed as the actual use of the care, that is, the individual realizes (or makes use of ) the potential access. Further, Andersen describes Equitable access as a type of access driven by demographic characteristics and need. While Inequitable access results not from demographic characteristics and need but from the individual's social structure, health beliefs, and enabling resources.

A

Market failure implies that the market mechanism:_________.

Answers

Answer:

Leads the economy to the wrong mix of output

Explanation:

Market failure is the when there is an inefficient distribution of goods and services in the free market.

One of the types of market failure is externality

Externality is when the production or consumption activities of economic agents have effects on people not involved in the economic activity. Externality can either be positive or negative

A good has positive externality if the benefits to third parties not involved in production is greater than the cost. an example of an activity that generates positive externality is research and development. Due to the high cost of R & D, they are usually under-produced. Government can encourage the production of activities that generate positive externality by granting subsidies.

A good has negative externality if the costs to third parties not involved in production is greater than the benefits. an example of an activity that generates negative externality is pollution. Pollution can be generated at little or no cost, so they are usually overproduced. Government can discourage the production of activities that generate negative externality by taxation  

what are the best jobs in Apple?

Answers

Answer:

Senior director , software engineers, senior legal counsel, and more

Other Questions
2y^2-8=6-2y^2can someone help 4. Compare your observations of micrographs obtained from the optical microscope, the scanning electron microscope, and the transmission electron microscope. 3. Complete the following table with the mathematical statements that4(x-3)= 20.3correspond to the proofs used to solveProofStatements4(x - 3)= 203GivenMultiplication Property of EqualityDistributive PropertyAddition Property of Equality Pillbugs are placed in a container where they have a choice of wet or a dry environment. Researchers record how much time was spent on each side ? Im confused and I just need a little help understanding What is the answer ? PLEASE HELP!!! Select all the equations that represent the distance formula. Greg is saving to buy a tablet that costs $235. He already has $25 saved up. Each week, Greg earns $15 babysitting and $25 as a cashier, but he spends $10 on lunches. Write and solve an equation to find how many weeks it will take Greg to have enough money saved to buy the tablet. What debt was the Stamp Act supposed to pay for? * how many calendars did the maya have? how accurate were they? Evaluate the geometric series or state that it diverges. sigma^infinity_k=0(8/9)^k Select the correct choice below and, if necessary, fill in the answer box to complete your choice. sigma^infinity_k=0(8/9)^k The series diverges. 64.8 divided by 3.6 Read the following passage from The Outsiders andanswer the question that follows:Darry had seen us from our porch and ran toward us,suddenly skidding to a halt. Dally was there, too, swearingunder his breath, and turning away with a sick expressionon his face. I wondered about it vaguely. Dally had seenpeople killed on the streets of New York's West Side. Whydid he look sick now?"What does the use of the bolded word vaguelysuggest about Ponyboy's emotional state? What was the purpose for the Native Americans to lay claim and invade Alcatraz A) They wanted to force the white man to assimilate. B) They wanted to build a nation for all Indians to learn about their culture and beliefs. C) To get the white man to sympathize with their living conditions on reservations and make them reevaluate what was done to them years before. D) To prove that the Native American culture is better and more advanced than the Christian beliefs of the white man. How did Caesar Augustus's construction of roads and bridges most affect the Roman Empire? They united the empire. They created government jobs. They established beautification. They affected the flow of water. how many settlers arrived may 1607? may 1608? how many had known occupations Can I make it rain inside in what city was marco polo born? The wheels on Noah's bike has a circumference of about 5 ft. How many times do the wheels rotate if Noah rides 40 feet? 4. List at least 3 important components about why you should summarize, paraphrase, orquote.?