Import-substitution industrialization (ISI) is an economic model that generally favors __________.
protectionism

Answers

Answer 1

Import-substitution industrialization (ISI) is an economic model that generally favors protectionism.

What is protectionism?

It is an economic policy that aims to promote local production and domestic industries while decreasing dependence on imported goods. The import-substitution industrialization process is commonly used in developing countries to reduce foreign dependency and build up domestic industries.

The countries would build up domestic industries by implementing high tariffs, quotas, and other trade barriers to restrict the import of foreign goods. This leads to an increase in the demand for locally made products, thus creating a more robust economy.

However, the policy could also result in the formation of inefficient industries that lack competitiveness in the international market. The country could also be isolated from the global market.

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Related Questions

What is the supply curve illustrating
the positive relationship between price and
quantity supplied (upward slope)

Answers

According to the supply curve, as prices rise, manufacturers supply more goods and services, demonstrating a positive link between price and supply with an upward slope.

What is the relationship between price and amount delivered known as the supply curve?

According to the economic principle known as the rule of supply, when the cost of goods or services rises, so does the quantity supplied. A supply curve is a graph that shows the correlation between pricing and supply in real time. As prices increase, so does the amount that is offered.

What does a supply curve demonstrate a positive correlation with?

The supply curve exhibits a strong inverse relationship between  the price of the product and the quantity supplied.

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A binding price ceiling is a mandated _______.

A. maximum price above the market equilibrium price
B. minimum price above the market equilibrium price
C. maximum price below the market equilibrium price
D. minimum price below the market equilibrium price

Answers

A binding price ceiling is a mandated "maximum price below the market equilibrium price."

This is because a binding price ceiling is a point at which the price of certain commodities can not rise above the market equilibrium price.

The binding price ceiling is usually set by the government rather than the force of demand and supply.

The binding price ceiling has negatives, such as leading to a shortage of supply.

Hence, in this case, it is concluded that the correct answer is option C.

"maximum price below the market equilibrium price."

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Answer:

I took the quick check. brainliest would be nice

Explanation:

1: C- maximum price below the market..

2:C- producers from low market..

3: C- led to a shortage as prices are kept from rising....

4: D- a price ceiling of 1,000

5: A- the surplus resulting from the price floor...

1.05 the market place economic

Answers

A market economy serves as an  economic system in which economic activities is been controlled by individuals.

What is market economy?

market economy serves as the economy that that gives country's individual citizens and businesses to be able to make decisions .

This decision could be  pricing of goods and services  which are been controlled  by the interactions of a country's individual citizens.

COMPLETE QUESTION:

Explain market place economy

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For what period of time are taxpayers expected to maintain records generally related to their income tax returns?.

Answers

Taxpayers are expected to maintain records generally related to their income tax returns for a period of at least three years from the original tax filing date. This is the minimum requirement for keeping records.

The IRS may choose to audit tax returns for up to six years after the original tax filing date, so it is recommended that taxpayers keep records for at least six years to be safe. If a taxpayer fails to keep proper records, they may be subject to penalties or even criminal charges. The records that taxpayers are required to keep may include documents such as receipts, invoices, canceled checks, and bank statements. These documents should be kept in a safe place, such as a fireproof safe or a safety deposit box. Taxpayers should also keep a copy of their tax return and all supporting documents for their own records. In addition to federal income tax, taxpayers should also keep records related to state and local income taxes.

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When you purchase something with a credit card, you
A
automatically improve your credit score
B
buy it now and promise to pay for it later
С
pay for it now but receive it later
D
decrease your debt

Answers

Answer:

(A) uhhh I think it's a

Explanation:

ok

Growing, Inc. is a firm that is experiencing rapid growth. The firm yesterday paid a dividend of $3.80. You believe that dividends will grow at a rate of 21.0% per year for three years, and then at a rate of 9.0% per year thereafter. You expect that the stock will sell for $60.64 in three years. You expect an annual rate of return of 24.0% on this investment. If you plan to hold the stock indefinitely, what is the most you would pay for the stock now? options: $39.53 $31.55 $42.66 $26.64 $36.51

Answers

The formula for calculating the present value of a stock is as follows:

PV = D1 / (1+r) + D2 / (1+r)^2 + . . . Dn / (1+r)^n.

Where: PV = the current value of the stockD1 = the dividend paid in year 1D2 = the dividend paid in year 2D n = the dividend paid in year nR = the required rate of return n = the number of years.

Dividend of Growing, Inc. yesterday was $3.80. This dividend is expected to grow by 21% for three years, and then by 9% per year thereafter.

The stock is expected to sell for $60.64 in three years, and the investor expects a return on this investment of 24% annually. The present value of the stock must be calculated if the investor wishes to keep the stock indefinitely.

Let's use the above formula to solve for the present value of the stock.

D1 = $3.80 (1 + 0.21) = $4.59D2 = $4.59 (1 + 0.21) = $5.56D3 = $5.56 (1 + 0.21) = $6.73D4 = $6.73 (1 + 0.09) / (0.24 - 0.09) = $54.97PV = $4.59 / (1 + 0.24) + $5.56 / (1 + 0.24)^2 + $6.73 / (1 + 0.24)^3 + $54.97 / (1 + 0.24)^3PV = $39.53.

Therefore, the investor should pay no more than $39.53 per share for the Growing, Inc. stock.

Thus, the option (a) $39.53 is the correct answer.

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do any product sub-categories have sales over $75,000, but are not bringing in positive profits? show a quick filter to filter through each category.

Answers

By applying these filters, you can easily identify the product sub-categories with sales over $75,000 that are not bringing in positive profits.

To determine if any product sub-categories have sales over $75,000 but are not bringing in positive profits, you can create a quick filter in a data analysis tool like Excel or Tableau. First, import your data containing product sub-categories, sales, and profits information.

To create a quick filter, follow these steps:


1. Sort the data by sales in descending order to focus on the sub-categories with sales over $75,000.
2. Apply a filter on sales column with criteria "> $75,000" to display only sub-categories with sales exceeding $75,000.
3. Apply another filter on profits column with criteria "< 0" to display only sub-categories with negative profits.

By applying these filters, you can easily identify the product sub-categories with sales over $75,000 that are not bringing in positive profits. Analyzing this filtered data will help you pinpoint areas for improvement and optimize the product portfolio for better profitability.

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When preparing a business message, you should make your writing audience oriented. Audience oriented means a. attempting to get your audience to believe and accept your message. b. writing to solve a problem or convey information. c. presenting ideas clearly but concisely. d. concentrating on looking at the message from the receiver's perspective.

Answers

Answer:

D. Concentrating on looking at the message from the receiver's perspective.

Explanation:

When writing a business message, it is important to ensure that the perspective of the receiver is considered. There are two sides to a message; the speaker and the receiver. By making a business writtings audience oriented, it means that thoughts of the receiver or audience is considered alongside the message.

Although other skills such as; present ideal clearly but concise, attempt to get your audience to believe and accept your message, write to solve a problem or convey information are essential qualities of business writtings, yet do not point to audience oriented message.

Use this formula to help solve the problem.
• gross income = total of all incomes added together
Given the following information, what does the gross income for the month equal?
Cash = $700, Checks = $200, Credit Card Charges = $400

a. $700
b. $1100
c. $1300
d. $400

Answers

Answer:

C.$1300.................:)

Answer:

1,300

Explanation:

just added the numbers

Citibank need to borrow $1 million for 6 months starting in 2 years. Citibank is concerned about the interest rate would like to lock in the interest rate it pays by going long an FRA with Bank of America. The FRA specifies that Citibank will borrow at a fixed rate of 0. 03 for 6 months on $1 million in 2 years. If the 6 months LIBOR rate proves to be 0. 1. Then to settle the FRA, what is the cash flow to Citibank at the end of 2 years

Answers

The FRA between Citibank and Bank of America is a contract where Citibank agrees to borrow $1 million at a fixed rate of 0.03 for 6 months starting in 2 years. If the 6 months LIBOR rate at the end of 2 years is 0.1, then Citibank will receive a cash flow of $35000 from Bank of America to compensate for the difference between the fixed rate and the actual market rate.

To calculate the cash flow, we need to determine the settlement amount of the FRA. The settlement amount is calculated as:

Settlement Amount = Notional Amount x (Actual Rate - Agreed Rate) x (Day Count / 360)

Where:

Notional Amount = $1 million
Actual Rate = 0.1 (6 months LIBOR rate)
Agreed Rate = 0.03 (Fixed rate in the FRA contract)
Day Count = 180 (Number of days in 6 months)

Substituting the values in the formula, we get:

Settlement Amount = $1 million x (0.1 - 0.03) x (180 / 360)
Settlement Amount = $35,000

Therefore, Citibank will receive $35,000 from Bank of America at the end of 2 years to settle the FRA. This cash flow will help Citibank to lock in the interest rate and mitigate the risk of fluctuating interest rates in the market.

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Renella, an individual, is a shareholder in Joubert Corporation, ans Corporation. At the beginning of the year of 2021, Renolla has a $15.000 basis in her stock in Joubert Corporation and a $10,000 loan (debt) basis to Joubert Corporation. For the year of 2021. Renella's share of Joubert Corporation's Nonseparately Stated Loss was $30,000 and Renella's share of Joubert Corporation's Separately stated Long Term Capital Loss was $10,000. What amount of the Nonseparately stated Loss of Joubert Corporation can Renella deduct on her personal Federal Income Tax Return (Form 10:40) for the year of 20212 $18,750 O $6.250 O $15,000 O $25,000

Answers

Renella can deduct  $25,000. of the nonseparately stated loss of Joubert Corporation on her personal Federal Income Tax Return (Form 1040) for the year of 2021.

To determine the deductible amount of the nonseparately stated loss, Renella needs to consider her basis in the stock and the debt basis in Joubert Corporation. The deductible amount is limited to the sum of these two bases.

In this case, Renella has a basis of $15,000 in the stock and a basis of $10,000 in the debt. Therefore, the total basis is $15,000 + $10,000 = $25,000.

Renella's share of the nonseparately stated loss is $30,000. Since the deductible amount cannot exceed the basis, Renella can only deduct $25,000 as the nonseparately stated loss on her personal Federal Income Tax Return. Therefore, the correct answer is $25,000.

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During 2018, Sunland Corporation reported net sales of $3,250,000, net income of $1,212,000, and depreciation expense of $99,400. Sunland also reported beginning total assets of $990,000, ending total assets of $1,610,000, plant assets of $802,000, and accumulated depreciation of $499,000. What is Sunland's asset turnover?

Answers

Sunland's asset turnover ratio is 2.5.

The asset turnover ratio is calculated by dividing a company's net sales by its average total assets. Average total assets are calculated by adding the beginning and ending total assets and dividing by two. So, in this case, we need to first find the average total assets of Sunland.

Beginning total assets = $990,000

Ending total assets = $1,610,000

Average total assets = (Beginning total assets + Ending total assets) / 2

Average total assets = ($990,000 + $1,610,000) / 2

Average total assets = $1,300,000

Now that we have the average total assets, we can calculate the asset turnover ratio.

Net sales = $3,250,000

Asset turnover ratio = Net sales / Average total assets

Asset turnover ratio = $3,250,000 / $1,300,000

Asset turnover ratio = 2.5

This means that for every dollar of average total assets, Sunland generated $2.50 of net sales during the year.

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What is telemarketing?

Answers

Answer:

Using the telephone or the Internet to promote products or services to prospective clients is known as telemarketing. Outbound calls, inbound calls, lead generation calls, and sales calls are the four most prevalent types of telemarketing calls.

Explanation:

Hope it helps:)

Definition : A telemarketer makes phone calls on behalf of the company to provide information about products and services to potential clients. When interviewing telemarketers the successful candidate will have a positive attitude with excellent sales skills.

What is a Telemarketer?

Telemarketers, also known as sales representatives, sell products or services over the telephone or through web conferencing. They usually work in call centers or at home for third-party call center companies. Additional responsibilities include: ... Contact potential and current customers to promote products or services.

What is a telemarketing in business?

Telemarketing is the direct marketing of goods or services to potential customers over the telephone, Internet, or fax.

What is telemarketing example?

Definition and examples. Telemarketing usually means contacting customers and potential customers by telephone, but can also include using fax or the Internet. Direct mail and face-to-face meetings are not part of telemarketing.

Hope this helps : )

Why do large corporations want to become more like small businesses?

Answers

Answer:

Many large corporations want to become more like small businesses because they want to make their firm more flexible, resourceful, innovative, and competitive. ... For businesses based off the internet, they are able to adapt to market changes quickly.

Small businesses are more nimble than larger businesses, and are better able to adapt as market conditions change. Because a small business is closer to its customers, it is in a better position to hear feedback and observe changing preferences.

Direct mail is considered a push marketing strategy since the mail is “pushed" on tourists.

A.) True
B.) False

Answers

a).....................

It's True that direct mail is considered a push marketing strategy since the mail is "pushed" on tourists

What is Push marketing?

"A push marketing strategy, also called a push promotional strategy, refers to a strategy in which a firm attempts to take its products to consumers – to “push” them onto consumers.

In a push marketing strategy, the goal is to use various active marketing techniques to push their products to be seen by consumers, sometimes right at the point of purchase.

One of the main objectives of push marketing is to reduce to as small as possible the amount of time that elapses between the customer seeing a product and making a purchase decision to buy the product."

Examples of Using a Push Marketing Strategy:

With a push marketing strategy, the firm takes the product to consumers. Consumers are introduced to, or reminded of, the product through any of several available push marketing methods:

Direct selling to customers – e.g., a car salesman who meets customers in the company’s auto showrooms

What is tourist?

Tourism is the generic term used to cover both demand and supply that has been adopted in a variety of forms and used throughout the world.

A tourist is a person who travels away from where they live to partake in leisure or business [tourism] activities for a specified period of time.

Types of tourists vary and tourists can sit anywhere along the spectrum between allocentric explorers and mass organized holidaymakers.

Hence, option A is the correct answer

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Five key success factors for a successful business

Answers

Answer:

Plz mark me as brainliest

Explanation:

the 5 Key Success Factors are:

Strategic Focus (Leadership, Management, Planning)

People (Personnel, Staff, Learning, Development)

Operations (Processes, Work)

Marketing (Customer Relations, Sales, Responsiveness)

Finances (Assets, Facilities, Equipment)

The product life cycle refers to the stages a product moves through from the time it enters the market until the time

Answers

It's the stage by which a product move through from the time it enters the market until the time it is cleared. My own definition states that it's the length of time by which a product is introduced to consumers in the market until it has been removed

NEED HELP!!
Taxes are payments to the blank the are required by law. You need to file a tax return each blank.

Answers

Answer:

year

Explanation:

Answer:

Government and year I believe

Hemley Corporation has estimated its ROE at 18%, and it will maintain a payout ratio of 45%. EPS1 is estimated to be $2.65 in the coming year. Investors require a 13% rate of return. At what price and P/E ratio would you expect the firm to sell

Answers

We would expect the firm to sell at a price of $87.27 per share with a P/E ratio of 32.90.

To calculate the price and P/E ratio, we can use the Gordon growth model, which is:

P = (D1 / (r - g))

where P is the price, D1 is the dividend for the next year, r is the required rate of return, and g is the growth rate.

First, we need to calculate the dividend for the next year, which is equal to the earnings per share (EPS) multiplied by the payout ratio:

D1 = EPS1 x payout ratio = $2.65 x 0.45 = $1.1925

Next, we need to calculate the growth rate using the retention ratio:

g = ROE x retention ratio = 0.18 x (1 - payout ratio) = 0.099

Now we can plug in the values and solve for the price:

P = ($1.1925 / (0.13 - 0.099)) = $87.27

To calculate the P/E ratio, we can use the formula:

P/E = P / EPS1

P/E = $87.27 / $2.65 = 32.90\

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If you wish to calculate the interest on an investment with a rate of 6.17%, what number will you plug into your equation? a. 0.00617 b. 0.0617 c. 0.617 d. 6.17 please select the best answer from the choices provided a b c d

Answers

Option b. 0.0617 is the correct answer as interest on investment at 6.17% converted into simpler form is 0.0617

Interest is the fee paid for having access to borrowed funds. While the interest rate used to compute interest is often reported as an annual percentage rate, interest expense or revenue is sometimes expressed as a dollar figure (APR). The compensation a lender or financial organization receives for giving out money is called interest. The percentage of a stockholder's ownership in a corporation that is also referred to as interest

Interest on investment = 6.17%

Removing the percentage sign and converting it into a simpler form:

= 6.17/100 = 0.0617

So, we will plug 0.0617 into the equation

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77. You complete a runs test on daily data for a thinly traded stock and the Z statistic is -5.13. If the stock has a return of -0.33% late in the trading day and you are convinced that other investors are not aware of the results, based on the runs test results, an investor would:
Buy or long the stock in late trading.
Sell or short the stock in late trading.
Wait an additional day to buy the stock.
Wait an additional day to short the stock.
Take neither a long or short position in the stock.
None of the above answers is correct.

Answers

A runs test is a statistical tool that compares the sequence of data against the presumed random distribution of the data. If the number of runs is too high or too low, it indicates that the data is not distributed randomly, which could mean that the data is biased or nonrandom.

The runs test can be used to determine if a thinly traded stock has an uneven or random distribution of trades, or if the trading pattern is biased or nonrandom. Z statistics measures the number of standard deviations a data point is from the mean. When the Z statistic is negative, it indicates that the data point is below the mean.

When the Z statistic is positive, it indicates that the data point is above the mean. In the question above, the Z statistic is -5.13, which indicates that the data point is 5.13 standard deviations below the mean.

If the stock has a return of -0.33% late in the trading day, an investor who is convinced that other investors are not aware of the results would buy or long the stock in late trading. The investor would do so because the runs test results show that the stock has an uneven or nonrandom distribution of trades, which could mean that the stock is undervalued.

Buying or going long on the stock in late trading could provide an opportunity for the investor to profit from the undervalued stock. Therefore, the correct answer is to buy or long the stock in late trading.

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You are planning to make monthly deposits of £400 into a retirement account that pays 7 per cent interest compounded monthly. Required: If your first deposit will be made one month from now, how large will your retirement account be in 40 years? (Round your answer to 2 decimal places (e.G., 32.16). The program includes a margin of error of +/- 1%.)

Answers

Answer:

The retirement account will be $1,049,913.57 in 40 years.

Explanation:

a) Data and Calculations:

Monthly deposits = $400

Interest rate = 7% compounded monthly

Annualized interest rate = 0.5833% (7%/12) monthly

Period of contribution = 40 years (40 x 12 = 480 months)

FV (Future Value) $1,049,913.57

PV (Present Value) $64,367.84

N (Number of Periods) 480.000

I/Y (Interest Rate) 0.583%

PMT (Periodic Payment) $400.00

Starting Investment $0.00

Total Principal $192,000.00

Total Interest $857,913.57

Who is the best teachers in deap
A. all of them

Answers

The greatest instructors in the DEAP (Disability Employment Accelerator Program) are tough to pinpoint because they may differ based on student experiences and viewpoints.

Which of these professional traits enables a person to adapt swiftly to changes in the modern world?

Your ability to adapt to changes in your environment depends on your adaptability skills. Being adaptable at work is being able to react rapidly to concepts, obligations, demands, trends, tactics, and other procedures that may change.

What kind of instructor is necessary to manage a class with impaired students?

They are known as resource instructors with a specialisation. The disabled students are taught in a separate class by a different teacher for those subjects and activities where their impairment prohibits them from learning from the usual teacher.

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In general, the favored way of measuring the performance of a money manager is by A) comparing her performance to that of the investor. B) examining the tax efficiency of the portfolio. C) comparing her performance to a relevant benchmark. D) measuring the fees charged against the total return.

Answers

"The correct option is A". In the financial industry, the performance of a money manager is a critical aspect for investors seeking to maximize their returns. One of the most common ways of measuring the performance of a money manager is by comparing their performance to a relevant benchmark.

A benchmark is a standard used to evaluate the performance of an investment portfolio. It can be an index such as the S&P 500, a market segment, or a specific investment strategy. By comparing the performance of a money manager to a benchmark, investors can evaluate whether their investment returns exceed the average returns of the market.

Comparing performance to a benchmark helps to ensure that the money manager is adding value to the investor's portfolio, rather than simply replicating the market. This type of analysis can help investors make informed decisions about the allocation of their investment dollars.

Other factors such as tax efficiency, fees charged against the total return, and the comparison to the investor's performance may also be relevant for evaluating a money manager's performance, but comparing their performance to a relevant benchmark is generally considered the favored way of measuring their overall effectiveness.

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Greg's average balance checking account pays simple interest of 5.4% annually, and he made $7.20 in interest last month. What was Greg's average balance last month?​

Answers

Answer:

Greg's average balance last month was $ 1,600.

Explanation:

Given that Greg's average balance checking account pays simple interest of 5.4% annually, and I have made $ 7.20 in interest last month, to determine what was Greg's average balance last month the following calculation must be performed:

5.4 / 12 = 7.20

100 = X

0.45 = 7.20

100 = X

100 x 7.20 / 0.45 = X

720 / 0.45 = X

1600 = X

Therefore, Greg's average balance last month was $ 1,600.

Which type of interest rate saves you the most money if you carry a balance
on a loan from one month to the next?
OA. Effective rate
B. Compound interest rate
C. Simple interest rate
OD. Annual percentage yield

Answers

The type of interest rate that saves you the most money if you carry a balance on a loan from one month to the next is the C. simple interest rate.

How does simple interest save money ?

The interest on a loan can be calculated using either the simple interest rate or the compound interest method. Simple interest calculations only apply to the principal balance of the loan, where no additional interest is charged on the debt itself.

Conversely, with compounded interest, the original amount borrowed increases when interest accumulates into the total owed, causing future interest charges to be higher than previous ones. This accrues until the full balance has been repaid along with the accumulated interest.

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Which of the following statements about the recognition of a prior service cost related to a postretirement obligation is correct?
a. The prior service amount is recognized in the income statement in the current period.
b. The prior service cost is recognized in the income statement net of tax.
c. Restatement of previously issued annual financial statements is required.
d. The prior service cost amount affects comprehensive income in the current period.

Answers

The correct answer is a.Prior service cost is a component of postretirement benefit plan accounting.

It is defined as the increase in the present value of postretirement benefits that is caused by the introduction of, or changes to, a postretirement benefit plan. For example, if a company decides to increase the healthcare benefits offered to its retired employees, it will result in an increase in the present value of the plan's obligations, and this increase is referred to as prior service cost.When prior service cost is recognized, it is recognized in the income statement in the current period, as an expense. It is reported separately from the other components of net periodic pension cost. The amount recognized is the excess of the year's increase in the projected benefit obligation over the year's service cost.The recognition of prior service cost does not require the restatement of previously issued annual financial statements.

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Assume your company’s sales increased from $3 million last year to $10 million this year. However, your biggest competitor is still the market leader with a 40% share of the $200 million widget market. Your other four competitors had sales this year of $53 million, $38 million, $12 million, and $7 million, respectively. For this year, what is your company’s MARKET SHARE? Type only a number along with a $ or % (if appropriate). Dollar amounts should be rounded to the nearest cent; percentages to the nearest tenth. *

Answers

Answer: 5%

Explanation:

The market share for the company will be gotten using the formula:

= Sales generated by company / Total industry sales × 100

= 10/200 × 100.

= 5%

Therefore, the company's market share is 5%

Please answer this question...



Did you eat today? if you haven't please find something to eat and take care of yourself :)

Answers

Answer: yes! Aww thanks, you too :))

Explanation: have a great day!!

Answer:yes i did thank you for caringgggggggggg have a good day^.^

Explanation:

A Laundromat where there are washing machines and dryers is an example of a:
A) single-channel, single-phase arrangement.
B) single-channel, multiple-phase arrangement.
C) multiple-channel, single-phase arrangement.
D) multiple-channel, multiple-phase arrangement.

Answers

A Laundromat where there are washing machines and dryers is an example of a multiple-channel, multiple-phase arrangement therefore the correct option is D.

A Laundromat with washing machines and dryers  generally operates with a multiple- channel, single- phase arrangement. This means that there's a single electrical circuit, which supplies power to multiple appliances. In the case of a Laundromat, this would include the washing machines and dryers, as well as any  fresh  outfit  similar as dealing  

machines or payment outstations. The single- phase arrangement ensures that all of the machines are powered at the same time, which helps to reduce energy costs and allows for more effective operation.

Hence the correct option is D.

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Other Questions
agive a partially ordered plan to achieve the goal from the initial state, such that the plan is minimally ordered (i.e., no action a is constrained to happen before another action b unless it is necessary for plan correctness). in specifying the plan, specify the name and parameter of every action in the plan, but do not list the preconditions and effects of each action. There are eight hospitals in a data set showing the number of discharges with the total days in the hospital. A mean length of stay is derived from the average daily census. A mean charge per hospital has been calculated. It appears that one of the hospitals has the highest mean charge and the longest mean length of stay. Is this data quantitative or qualitative? Explain. page 183 7.3. differentiate among the different social classes in the united states. select the bold text that represents status inconsistency. A. socioeconomic status is based on a collection of complex variables. B. many ultra-wealthy individuals inherited their wealth. C. many low-income individuals did not complete high school. D. mother teresa, also known as saint teresa, was a highly influential person who had no personal wealth. E. bill gates and richard branson are successful in corporate life, but dropped out of college. Only the first and second choices are correct.Polysaccharides always:Please choose the correct answer from the following choices, and then select the submit answer button.are a string of three or more sugar molecules.are polymers.contain lipids.All of the above are correct.Only the first and second choices are correct. Dominant Portfolios Determine which one of these three portfolios dominates another. Name the dominated portfolio and the portfolio that dominates it. Portfolio Blue has an expected return of 7 percent and risk of 10 percent. The expected return and risk of portfolio Yellow are 13 percent and 17 percent, and for the Purple portfolio are 9 percent and 14 percent.A.Portfolio Purple dominates Portfolio YellowB.Portfolio Purple dominates Portfolio BlueC.Portfolio Blue dominates Portfolio YellowD.Portfolio Yellow dominates Portfolio BlueI don't see a portfolio that has a higher return with a lower risk so which one is correct? Please give me a good reason why the one you choose is the correct answer Chemistry Question Help Please! Use the phase diagram for water to answer the following questions.35 and 85 kPa-15 and 40 kPa-15 and 0.1 kPa60 and 50 kPaUsing the graph above, describe the phase changes that are in equilibrium along each black line. Describe what those equilibria mean.The boiling point for nitrogen is -195.8. Imagine that you had a sealed container of nitrogen gas at room temperature. What are two ways that you could turn the gas into a liquid? PLEASE HELPMay 9, 10 a.m.Both you and your partner return to the accident scene, looking around again to determine if anything else needs to be bagged and tagged to help with the investigation. You note that the speed limit around the curve is 25 mph. You look more closely at the curve in the road and note faint skid marks around it, and one heavy, fresh skid mark leading to the tree. In your crime scene notebook: Make your first hypothesis about the possible cause of the accident, given the evidence you have so far.May 9, 11 a.m. You call the coroners office and ask to speak to the medical examiner, Dr. Villa May, to see how far she has gotten on the autopsy of the driver, Peter Samples. She indicates that she has finished her examination and has determined the cause of death. Tissue and blood samples have been taken, but the toxicology report will take two days. You ask her to please email her preliminary results.In your crime scene notebook: Write a summary of the medical examiners report. Write a revised hypothesis based on the examiners findings. 31 The following are the main steps in the generation ofan action potential sodium channels are inactivated voltage-regulated potassium channels open and potassium moves out of the cell, initiating repolarization sodium channels regain their normal properties graded depolarization brings an area ofan excitable membrane to threshold 5. temporary hyperpolarization occurs sodium channel activation occurs sodium ions enter the cell and depolarization occurs find the distance d so that the vertical reaction under the front wheels (point b) is 300lb due to the three forces shown. the cart is being towed at a constant velocity Which of the following would be in the raw materials inventory of a company making ice cream? Multiple Choice Ice cream that has been made but is freezing to the level required for shipping. Milk and cream used to make the ice cream Frozen ice cream that is waiting to be shipped to retailers. Ice cream that has been made but is freezing to the level required for shipping. Milk and cream used to make the ice cream. Frozen ice cream that is waiting to be shipped to retailers. Ice cream in process awaiting the addition of nuts. Can someone help me with this ou are preparing to assess the skill of listening with an intermediate-level, adult efl class. which of the following tips exhibits best practices for assessing the skill of listening? 2. Is the coal seam exposed on both sides of the prominent north-south trending mountain, or just on the east side? What is the lowest eleva- tion at which coal occurs in the map area? El Sr. Milton Escobar se presenta al banco de los Trabajadores de Tegucigalpa a constituir un depsito a Plazo Fijo #2250 a 6 meses por L100,000. 00 al 10. 5% de inters anual entregando el valor total con cheque #0045 a cargo del mismo banco. Haga la partida de apertura describe a political ideology being appealed to by president johnson by the speech in the scenario. frq (a) how many kilometers does light traverse in 1 ly? km (b) what is the speed of light c in terms of ly per year. ly/y (c) express your answer from (b) in terms of feet per nanosecond. ft/ns _____ helps employees select development activities that prepare them to meet their career goals.A. Career pathB. TrainingC. Policy analysisD. Job sharingE. Career management The BLS team is caring for a patient who just went into cardiac arrest. The team leader asks you to call the code team. Which statement demonstrates appropriate closed-loop communication? The product of two numbers is 19,200 and HCF is 40 find the LCM shapefiles are made of at least three separate files in the windows file system, and frequently include additional files containing info about projections and other auxiliary data. True or False