Explain how the accounting for a fair value hedge differs for the hedged item and for the hedging item compared to the accounting for a cash flow hedg

Answers

Answer 1

A cash flow hedge is accounted for differently than a fair value hedge.

The key difference between a cash flow hedge and a fair value hedge is the hedged item. With a cash flow hedge, you’re hedging the changes in cash inflow and outflow from assets and liabilities, whereas fair value hedges help to mitigate your exposure to changes in the value of assets or liabilities.

A fair value hedge is used to mitigate risk created by fixed exposures such as fixed costs, prices, rates, or terms. Whereas a cash flow hedge is used to mitigate risk from variable exposures.

In the case of the Hedged Item:

a) Loss on the hedging item on the reporting date:

Debit the loss to Loss on the Hedged Item A/c. This will have an effect on the Profit & Loss A/c and reduce the profit of the company.

Credit the Hedged item. Since this is an asset, the value of the asset will go down, and this will affect the Financial Position i.e., Balance Sheet of the company.

b) Gain on the hedging item on the reporting date:

Debit the Hedged item. Since this is an asset, the value of the asset will go up, and this will affect the Financial Position i.e., Balance Sheet of the company.

Credit the gain to Gain on the Hedged Item A/c. This will have an effect on the Profit & Loss A/c and increase the profit of the company.

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Related Questions

Select the correct answer from each drop-down menu.
When a government introduces regulations addressing worker safety and environmental protection, it affects businesses and consumers.
Businesses face
v because they must alter existing infrastructure to meet regulations. As a result, consumers pay
v for produced goods.

Answers

Businesses and consumers are impacted when a government enacts legislation addressing worker safety and environmental protection. Businesses must change their existing infrastructure in order to comply with rules, which results in (HIGER COST)

Briefing: -

As a result, customers pay (MORE) for things that have been produced.

This is due to the extra money that business owners expend to make sure they are adhering to rules. Therefore, in order for them to see a return on their investment, they must sell more of the products they currently have on hand (ROI).

What exactly are business and consumer?

Business-to-consumer (B2C) refers to the practice of conducting direct sales of goods and services between an organization and the customers who will ultimately use those goods or services.  B2C enterprises are the majority of businesses that sell to consumers directly.

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What has the biggest positive impact on workplace cooperation?


Answers

Answer: I would say its being able to talk to people and be social and not awkward  

Explanation:

The single biggest, positive impact that results from that is motivation: Motivation to do your best, motivation to not let your teammates down, and motivation to make the collaboration a win for everyone involved

The American Labor movement was considered radical compared to what was happening in Europe. true or false

Answers

Answer:

true took the test brainliest please

1. Non-home-mortgage interest prepaid in cash can only be deducted:
A) When paid
B) When the loan is liquidated
C) In the year of loan origination
D) Over the period of the loan
2. Unnecessary cosmetic surgery costs directed solely at improving the patient's physical appearance:
A) Qualify as a medical expense deduction
B) Are listed as itemized deductions
C) Will not qualify for a medical expense deduction
D) Are limited to a maximum deduction of $10,000
3. Yearly ad valorem personal property taxes are allowed as an itemized deduction. True or false
4. An individual is allowed a medical deduction set at a standard rate of 18 cents per mile for the use of a car for medical purposes in lieu of a deduction based on the actual operating expenses for gas, oil, etc. True or false
5. In the current year, John Barraclough has $50,000 of adjusted gross income, a $10,000 casualty loss and a $2,000 casualty gain. How much is John’s net deductible casualty loss after making all appropriate reductions?
A) $0 B) $2,900 C) $3,000 D) $7,900 E) $8,000
I need help, urgently, please!!!

Answers

1. The correct answer is A) When paid. Non-home-mortgage interest prepaid in cash can only be deducted in the year when the payment is made.

This means that if you pay interest in advance, you can only claim the deduction for that interest in the year it is actually paid.

2. The correct answer is C) Will not qualify for a medical expense deduction. Cosmetic surgery costs that are solely for improving the patient's physical appearance are generally not considered eligible for a medical expense deduction.

In order for a medical expense to be deductible, it must be considered necessary for the treatment or prevention of a specific medical condition.

3. False. Yearly ad valorem personal property taxes are not allowed as an itemized deduction. Prior to the tax law changes in 2018, these taxes were deductible as part of the state and local tax (SALT) deduction. However, under the current tax law, starting in 2018, the SALT deduction is limited to a maximum of $10,000, and personal property taxes are no longer separately deductible.

4. True. An individual is allowed a medical deduction set at a standard rate of 18 cents per mile for the use of a car for medical purposes in lieu of a deduction based on the actual operating expenses for gas, oil, etc. This deduction is intended to cover the costs associated with using a car for medical-related travel, such as going to doctor's appointments or receiving medical treatment.

It simplifies the process by providing a standard rate per mile instead of requiring individuals to track and calculate their actual operating expenses.

5. The correct answer is C) $3,000. To calculate the net deductible casualty loss, you subtract any casualty gains from the casualty losses. In this case, John Barraclough has a casualty loss of $10,000 and a casualty gain of $2,000.

Subtracting the casualty gain from the casualty loss gives us $10,000 - $2,000 = $8,000. However, casualty losses are subject to a $100 floor per event, meaning that the first $100 of each casualty loss is not deductible.

Therefore, the net deductible casualty loss would be $8,000 - $100 = $7,900.

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PLEASE HELP ME
My career is a traveling nurse

PLEASE HELP MEMy career is a traveling nurse

Answers

Answer:

Step by step explanation

What should you do before a job shadowing experience?
O Choose a casual outfit to wear.
O Contact a friend to see if they will go with you.
O Reach out to the employees and ask questions.
O Research the organization where you will be shadowing.

Please help ASAP

Answers

Answer:

Research the organization where you will be shadowing.

Which of the following are reasons that companies have increased their use of long-term debt for financing?
-Inability to generate enough funds from operations to fund expansion.
-Expansion in Capital intensive industries. -Recapitalize by using debt to repurchase common stock.

Answers

These reasons demonstrate how companies may leverage long-term debt to address funding gaps, support growth, and optimize their financial structure. However, it's important for companies to carefully manage their debt levels and consider the associated risks and costs when utilizing long-term debt as a financing option.

The reasons that companies have increased their use of long-term debt for financing include:

1. Inability to generate enough funds from operations to fund expansion: When a company's operating cash flows are insufficient to finance expansionary activities or capital expenditures, they may turn to long-term debt as a source of funds. By borrowing funds through long-term debt, companies can secure the necessary capital to support their growth initiatives.

2. Expansion in capital-intensive industries: Certain industries, such as manufacturing, infrastructure, and energy, often require substantial investments in capital assets. Companies operating in these capital-intensive industries may utilize long-term debt to finance the purchase of machinery, equipment, facilities, or other long-lived assets necessary for their operations and expansion.

3. Recapitalize by using debt to repurchase common stock: Companies sometimes choose to use long-term debt to repurchase their common stock in a process known as recapitalization. By issuing debt and using the proceeds to repurchase outstanding shares, companies can alter their capital structure and potentially enhance shareholder value. This strategy is often employed when a company believes its stock is undervalued and seeks to increase earnings per share or return capital to shareholders.

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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.

What do you want to be when you a grow up? I want to be a model or a fitness model or a boxer or a professional tahitian dancer or belly dancer you?

Answers

I haven’t decided exactly what I wanna do yet, but here are my options:

-Interior designer
-Psychology counseling
-Fashion designer
-Small business owner (cafe?)
-Or something in the cosmetic indestry

Answer:

I love to read and write. So, I want to become an author. I want to entertain people with my stories. I also want to be a media specialist. I love being part of the library and the books.

Explanation:

which of the following describes the term productivity

Answers

Productivity is the measurement of physical output relative to each unit of input, typically expressed in labour hours.

What is Productivity?
Productivity refers to the efficiency with which goods or services are produced. Productivity can also be expressed as a ratio of the entire output to a single input, the sum of all the inputs utilised in a production process, or the output per input, usually over a defined time period. The (aggregate) measure of labour productivity, using GDP per worker as an example, is the most common illustration. The selection of a productivity definition (including those that do not refer to ratios of output to input) depends on the goal of the productivity assessment and/or the availability of data. The main cause of variation across productivity metrics is frequently (directly or indirectly) connected to how the inputs and outputs are combined to produce such a ratio-type productivity indicator.

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When a spelling error is indicated, what is a quick way to see a list of possible corrections?
Left click on the spelling error
Cut the spelling error
Highlight the spelling error
Right click on the spelling error

Answers

I'm pretty sure that its right click on spelling error
Right click on the spelling error.

Similarity between modern distillery and wine shop

Answers

Answer:

Explanation:

The process of brewing wine in traditional wine shops and modern distilleries differ in certain aspects and at the same time are similar in certain aspects. While the overall process would be similar, if looked into the more intricate details it will be different. Speaking about the similarities, in both of the processes, wine is supposed to undergo fermentation. Next comes the ingredients.

evan accidentally quoted a customer a price for new flooring that was more than $1,000 less than the actual price. his manager had a choice of punishing evan or providing him coaching and retraining on how to calculate the cost of flooring correctly. his manager chose to retrain evan, using the ________ control.

Answers

Answer: Feedforward control

Planing is the primary function of management.discuss

Answers

Explanation:

it is a primary function of management because it help in making the business and it makes it easier for the employees and everyone involved in the business in the workforce to see what is going to happen in the business and it's important for making decisions and such as trading and different types of that can a decision so it can also make it easier for the employees and the whole business to run smoothly because if you have a plan for everything then you can easily basically just you know work according to your needs and you can just flourish as a business

_______ will help you maintain good credit.

Answers

Paying your Bills on Time will help you to maintain good credit.

Why do one need to Pay Bills on Time?

The act if paying one's credit card bills and other forms of loans on time is very vital.

Mostly  because  late or missed payments could lead to a dip in one's credit score. If one is not totally concerned about missing a due date, it is better to have a form of automatic bill payment that can help one  to stay on top of one's account payments.

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Answer: lowering your balances

$1,000 par bond with a 8% semi-annual coupon trades at a price of $1,288. If the bond has 10 years to maturity, what is the yield to maturity? O 8.9% 4.38% O 4.41% 5.58%

Answers

The yield to maturity of a $1,000 par bond with an 8% semi-annual coupon and a price of $1,288 is approximately 4.41%.

To calculate the yield to maturity (YTM) of a bond, we need to find the discount rate that equates the present value of the bond's future cash flows to its current price. In this case, the bond has a $1,000 par value, an 8% semi-annual coupon, and 10 years to maturity. The coupon payments are $40 (8% of $1,000) every six months. By discounting these cash flows, along with the bond's final payment of $1,000, we can find the yield to maturity. Using a financial calculator or software, the YTM is approximately 4.41%.

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Explain the role of public relations in developing and maintaining a corporate image.

Answers

By overseeing communication and relationships between an organisation and its stakeholders, public relations plays a critical part in creating and sustaining a company image.

To influence the perception, reputation, and overall image of the business, strategic communication is used. To improve the public's view of the company, public relations experts take part in activities like media relations, crisis management, community involvement, and employee communications. Public relations contributes to the development of trust, credibility, and goodwill among stakeholders by clearly articulating the company's ideals, accomplishments, and social responsibility efforts. It helps build the company's brand, draw in clients, investors, and talent while minimising reputational hazards.

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6. A firm has forecasted sales of $3,000 in April, $4,500 in May, and $6,500 in June. All sales are on credit. 30% is collected the month of sale and the remainder the following month. What will be the balance in accounts receivable at the end of June?
A. $1,950
B. $6,500
C. $4,550
D. $5,100

Answers

The balance in accounts receivable at the end of June can be calculated using the given information on forecasted sales and collection percentages. In April, sales are $3,000, so 30% is collected that month ($3,000 * 0.30 = $900), and the remaining 70% ($3,000 * 0.70 = $2,100) is collected in May.

In May, sales are $4,500, so 30% is collected that month ($4,500 * 0.30 = $1,350), and the remaining 70% ($4,500 * 0.70 = $3,150) is collected in June. In June, sales are $6,500, and 30% is collected that month ($6,500 * 0.30 = $1,950). To find the accounts receivable balance at the end of June, we need to add the uncollected amounts from May and June. The uncollected amount from May is $3,150, and the uncollected amount from June is 70% of June sales ($6,500 * 0.70 = $4,550). Therefore, the balance in accounts receivable at the end of June is $3,150 + $4,550 = $7,700. However, this value does not match any of the given options (A, B, C, or D), indicating an error in the options provided.

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when you grounded and mom says no xbox, goes to work... you sitting on the xbox playing cod..... car door shuts from outside... you forgeting your grounded....... mom walks in.......you remembering......... O_O


im so board.... ;-;

Answers

Answer:

lol

Explanation:

Lol just act sleep and if that don’t work run as fast as you can

Mang Eming has diabetes. He needs insulin medicine based on the prescribed dosage prescribed by his doctor. Its price increased from Php500 per 10 ml vial to Php700 per 10ml vial Mang Eming had no choice but to buy the dosage prescribed by the doctor

Answers

Because it is inelastic, demand for healthcare services is relatively stable independent of price fluctuations. Conversely, elastic prices suggest that prices have a significant impact on demand.

What is the effect of price changing in Medicines ?

Pharmaceuticals appear to be relatively price inelastic according to empirical estimates of price elasticities of demand (PED). The reported "composite" PED is impacted by simultaneous differential price adjustments in numerous contexts between a drug and its alternatives and supplements.

Most healthcare services, including pharmaceuticals, are regarded as being price inelastic, with price elasticities of demand (PED) close to -0.20, since the RAND health insurance experiment (1971–1982; see below). The demand for healthcare services fluctuates very little because it is inelastic.

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A salaried employee receives an annual salary of $40,000. There are 26 pay
periods during the year. During the current pay period, she receives a bonus of
$200. What is her gross pay for this pay period?
A. $1,338.46
B. $1,738.46
C. $1,538.46
D. $1,938.46

Answers

Answer:

B. $1,738.46

Explanation:

Gross pay is the regular pay plus bonuses, allowances, and commissions.

In this case, the regular pay will be $40,000 divide by 26 pay periods.

=$40,000/ 26

=$1,538. 46

Gross pay =  $1,538. 46 + $200 bonus

=$1,738. 46

The accompanying graphs depict the market for bags of potato chips, which is currently at an equilibrium price of $1.67 per bag and an equilibrium quantity of 3.33 million bags. Suppose that, in an attempt to lower blood pressure and reduce healthcare costs, the government imposes a $1.00 excise (or commodity) tax on potato chips. Scroll down to answer all 6 parts of the question


a. Suppose the government levies this tax on manufacturers for each bag of potato chips they produce. Please shift the curve(s) to illustrate this.

b. What is the price paid per bag by consumers (Pc) after the production tax?

c. What is the price received net of tax (Pp) per bag by producers after the production tax?

d. Suppose the government, instead of levying the tax on producers, levies this tax on consumers for each bag of potato chips they purchase. Please shift the curve(s) to illustrate this.

e. What is the effective price paid per bag by consumers (Pc) after the consumption tax?

f. What is the price received net of tax (Pp) by producers after the consumption tax?

Answers

A market-clearing price, often referred to as an equilibrium price, seems to be the consumer cost associated with a good or service when the demand and supply are equal or nearly equal.

By equilibrium pricing, what do you mean?

Economic equilibrium in economics refers to a scenario where demand as well as supply are balanced and the values underlying economic variables do not change in the absence of outside factors.

1. As the tax levied is $1, the supply curve rises by $1 from of the equilibrium price.

2.2(3.33/$1.67)

3. 1(3.33/($1.67+$1)

4. From the equilibrium price, the demand curve declines by $1. (due to tax imposed)

5. 2(3.33/$1.67)

6. 1(3.33/($1.67+$1)

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How many years would it take for money to increase to 3 times the initial amount at an interest rate of 18% per year?

Answers

Answer:

7 years (to the nearest year)

Explanation:

Given that;

A = amount

P= principal

t = time

r = rate

A =3P(given in the question)

Formula for compound interest;

A = P(1 + r)^t

Substituting values;

3P = P(1 + 18/100)^t

3P/P= (1.18)^t

3 = (1.18)^t

log 3 = t log 1.18

t = log 3/log 1.18

t = 0.4771/0.0719

t = 6.6 years

t = 7 years (to the nearest year)

demand deposits are considered a(n) to a bank. question 4 options: a) asset b) owner's equity c) retained earning d) liability

Answers

A demand deposit is a type of bank account where the account holder can withdraw funds from their account at any time without notice. Option D (liability) is correct.

The funds held in this type of account are said to be "demand deposits" since the account holder can demand access to them at any time. They can be used for day-to-day expenses, such as bills and rent.

Demand deposits are funds deposited in a bank account that the depositor may withdraw at any time. The bank does not need to provide notice of withdrawal to the depositor. This is opposed to a term deposit, where the money is locked up for a specified period of time.

Demand deposits are considered a liability to a bank. This is because the bank owes the account holder the amount deposited in their demand deposit account. The bank has an obligation to give the account holder access to their funds whenever they demand them.

This obligation makes it a liability for the bank. Therefore, option D (liability) is correct.

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consider the following credit card: card apr compounding a 6.2200% annual b 6.0583% daily c 6.1277% quarterly d 6.1204% monthly which one would you choose? card c correct! card a card d card b

Answers

In the following question, option C: card apr compounding a 6.2200% annual b 6.0583% daily c 6.1277% quarterly d 6.1204% monthly, The answer is a credit card with an APR of "6.1277%"

which one would you choose? The credit card with an APR of 6.1277% quarterly would be preferred among the credit cards listed above.

What is APR?APR (Annual Percentage Rate) is the yearly interest rate on credit cards or loans, including any fees or extra costs.

APR is a way to compare the overall cost of borrowing money among different lenders. Card APR Compounding 6.2200% Annual b 6.0583% Daily 6.1277% Quarterly 6.1204% Monthly

Which APR is most preferred and why? The credit card with an APR of 6.1277% quarterly would be preferred among the credit cards listed above. This is because the quarterly compounding frequency (four times per year) provides the cardholder with more time to pay off the balance with lower interest charges.

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During a job interview, Pam Thompson is offered a salary of $32,000. The company gives annual raises of 4 percent. What would be Pam's salary DURING her fifth year on the job? (You may need to round to the nearest answer)

Answers

Answer:

$38,933

Explanation:

A=P( 1 + r/100)^n

A= amount

r= rate(4%)

n=period (5)

A=32,000 ( 1 + 4/100)⁵

A=32,000 (1.04)⁵

A=38,932.89

A=$38,933( nearest whole number)

During a job interview, Pam Thompson is offered a salary of $32,000. Pam's salary during her fifth year on the job is $ 37435.474.

What do you mean by the annual raise of salary?

A worker's salary increase is expressed as a percentage of their total base pay. Typically, it represents a portion of the employee's yearly compensation. Employers may utilize increments to raise or lower basic pay as well as to provide incentives.

The yearly increase % calculates the average annual percentage rate of salary increases.

Here,

Current salary= 32000

First increment will occur at the beginning of 2nd year = 32000 × (1+4%)

Second increment will occur at the beginning of 3rd year = 32000 × (1+4%) × (1+4%)

Third increment will occur at the beginning of 4th year =  32000 × (1+4%) × (1+4%) × (1+4%)

Fourth increment will occur at the beginning of 5th year

= 32000 × (1+4%) × (1+4%) × (1+4%) × (1+4%)

= 32000 × (1+4%)^4

= 32000 × (1.04)^4

= 32000 × 1.1698586

= $ 37435.474

Therefore, during a job interview, Pam Thompson is offered a salary of $32,000. Pam's salary during her fifth year on the job is $ 37435.474.

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Distinguish between 'value' and 'price'.​

Answers

Value represents the amount of money that you are willing to pay for anything. Price is the amount of money that you are asked to pay for it.

If the stock price increases and all else equal, the price of a put option on that stock __________, and that of a call option __________.

Answers

Value of a put option on that stock increases, and that of a call option decrease if the stock price increases and all else equal.

All other things being equal, if the stock's price goes up, the value of a put option on that stock skyrockets and the cost of a call option drops. The financial options are derivatives, implying that the price of one is dependent on the worth of another, for instance, a share of common stock.

Put Options - the power to sell the underlying securities at the stock price at any moment before to expiration.

Call options - allow a person to purchase the underlying asset at the stock price.

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If the stock price increases and all else equal, the price of a put option on that stock __________,

An investment counselor calls with a hot stock tip. He believes that if the economy remains​ strong, the investment will result in a profit of ​$40 comma 00040,000. If the economy grows at a moderate​ pace, the investment will result in a profit of ​$10 comma 00010,000. ​However, if the economy goes into​ recession, the investment will result in a loss of ​$40 comma 00040,000. You contact an economist who believes there is a 2020​% probability the economy will remain​ strong, a 7070​% probability the economy will grow at a moderate​ pace, and a 1010​% probability the economy will slip into recession. What is the expected profit from this​ investment?

Answers

Answer: 11,000

Explanation:

Given the following :

PROFIT on investment when economy is strong = 40,000

Profit on investment when economy is moderate = 10,000

Loss on investment if economy goes into recession = 40,000

Probability that economy remains strong = 20%

Probability that economy will grow moderately = 70%

Probablity of slipping into recession = 10%

Expected profit on investment :

(20% × 40,000) + (70% × 10,000) - (10% × 40000)

(0.2 × 40000) +(0.7 × 10,000) - (0.1 × 40000)

8000 + 7000 - 4000 = 11,000

All else constant, a U.S. financial institution with a ___________ net exposure in any given foreign currency is not exposed to fluctuations in the exchange rate of that currency against the US dollar.

Answers

All else constant, a U.S. financial institution with a zero net exposure in any given foreign currency is not exposed to fluctuations in the exchange rate of that currency against the US dollar.

This means that the institution's total assets and liabilities denominated in that foreign currency are equal, resulting in no net currency risk.

For example, if a U.S. bank has $100 million in loans denominated in Japanese yen and $100 million in deposits denominated in Japanese yen, then it has zero net exposure to the Japanese yen. Therefore, any fluctuations in the exchange rate of the Japanese yen against the US dollar will not affect the bank's profitability or balance sheet.

However, if the bank had a positive or negative net exposure in Japanese yen, it would be exposed to fluctuations in the exchange rate, which could have a significant impact on its earnings and capital position.

Therefore, managing net currency exposure is an important aspect of risk management for financial institutions with international operations. By hedging their net currency exposures, banks can mitigate the potential impact of exchange rate movements on their financial results.

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what is the product of 4/7 and 1/5 as a fraction 2/5 of 7/10. Express in simplest form The area between the pre-synaptic nerve cell and the post-synaptic muscle cell is termed the synaptic cleft.True or False The enzyme that unzips DNA during replication is called... ick the correct alternatives.If A is a subset of U, which one of the following relation is always true?(A) A U U = U (B) A N U = U (C) A n A = 0(D) A U = Bore = 3"Rod Diameter = 1"Stroke = 12"Flow Rate = 10 gpmPressure = 2,500 psigExtend Speed (ft/min) = (Flow (in.) + Piston Area) /12Note: calculate ft/min to three decimal places.Select one:a. 0.273b. 2.723C. 27.231d. 37.233 help me again with the iready the area of a rectangle is 344in; if the length is 78in, find the width and perimeter of the rectanglewhat is the width and perimeter In an equation, y varies directly as xvaries. If y = 42 when x = 56, what isthe value of x when y = 18?A )24B )28C )32D )36 Sensory receptors for sound are the anvil, hammer, and stirrup; middle ear hair cells; auditory nerve hair cells; basilar membrane anvil, hammer, and stirrup; inner ear and they are embedded in the which best explains why estuaries are an important habit for many Marine organisms in comparison to the open ocean?A) there is less food in the estuariesB) there are more predators in estuariesC) there is more salt available in estuariesD) there are more nutrients available in estuaries what has the biologist Rahul Kumar came to India to find Steamed rice is an integral part of meals in Southeast Asia. Thus, steamed rice is an example of a(n) _____ food of Southeast Asia. a scanner breaks its input unit tokens delimited by commas, which are the default delimiter. T/F Hi having a hard time could you help me please 13 20 15 9 + 20 7 6 15. Y-intercept: (0,y=-2x2 16x 34What is the y intercept? Please help ASAP not my schoolwork its my friends. How do i know if i should use affect or effect? How much Water do you add to make each concentration 1% sugar syrup using 12 g sugar I saw the other answers were 33 but they were incorrect please help me