The net effects on the corporation of the declaration and payment of a cash dividend are to increase assets and increase stockholders' equity. increase stockholders' equity and decrease liabilities. decrease assets and decrease stockholders' equity. decrease liabilities and decrease stockholders' equity.

Answers

Answer 1

Answer:

Decrease assets and decrease stockholders equity

Explanation:

Shareholders of the Company are rewarded for their contribution through dividends.

Declaration and payment of a cash dividend results in the following journal :

Dividend (debit)

Cash (credit)

Thus,

The Owners Equity Decrease whilst the Assets Account (Cash) Decreases


Related Questions

Suppose in the year 2019, people spent $500 on durable goods, $600 on non-durable goods, and $900 on services. During the same year, the government paid a total of $600 to soldiers and police officers, spent $400 building missiles and highways, spent $200 total on welfare and unemployment benefits and $800 on social security payments. During this year the United States had imports totaling up to $600 while exporting $200 worth of goods and services. Finally, firms spent $600 on machines that will increase their productive capacity and they raised the amount of goods in their inventories from $200 at the beginning of the year to $500 at the end of the year. Please use this information to calculate total GDP for 2017.a. $2,300.b. $2,800.c. $3,200.d. $2,700.

Answers

Answer:

nba

Explanation:

nba

Doug's Boat Shop, Inc. reports operating income of $260,000 and interest expense of $31,200. The average common stockholders' equity during the year was $50,000. The beginning assets balance is $115,000 and ending assets balance is $180,000. What is the leverage ratio

Answers

Answer:

2.95

Explanation:

Given that;

Beginning assets = $115,000

Ending assets = $180,000

Operating income = $260,000

Interest expense = $31,200

Average common stockholder equity = $50,000

Average total assets ;

= (Beginning assets + Ending assets) ÷ 2

= ($115,000 + $180,000) ÷ 2

= $147,500

Therefore,

Leverage ratio = Average total assets ÷ Average common stockholder equity

Leverage ratio = $147,500 ÷ $50,000

Leverage ratio = 2.95

A corporation has 25,000 shares of $10 par stock outstanding. How many shares would be outstanding after a 5-for-1 stock split

Answers

Answer:

125,000

Explanation:

When a 5-for-1 stock split takes place, for every outstanding stock, 4 more are created. In this case, there are 25,000 outstanding stocks, which means that 25,000 x 4 = 100,000 more will be issued. In total, 25,000 + 100,000 = 125,000 stocks will be outstanding after the stock split.

If the expected rate of return on the market portfolio is 12% and T-bills yield 6%, what must be the beta of a stock that investors expect to return 10%?

Answers

Answer:

the beta of the stock is 0.67

Explanation:

The computation of the beta of the stock is shown below

As we know that

As per CAPM model

Expected rate of return = risk free rate + beta × (market rate of return - risk free rate)

0.10 = 0.06 + beta × (0.12 - 0.06)

Beta = 0.04 ÷ 0.06

= 0.67

Hence, the beta of the stock is 0.67

We simply applied the above formula so that the correct value could come

And, the same is to be considered

On December 1, Year 7, Gelt Corporation declared a dividend and distributed to its sole shareholder a parcel of land that was not an inventory asset. On the date of the distribution, the following data were available: Adjusted basis of land $ 6,500 Fair market value of land 14,000 Mortgage on land 5,000 For the year ended December 31, Year 7, Gelt had earnings and profits of $30,000 without regard to the dividend distribution. If the mortgage on the land was assumed by the sole shareholder, by how much should the dividend distribution reduce Gelt's earnings and profits

Answers

Answer:

The amount by which the dividend distribution should reduce Gelt's earnings and profits is $1,500.

Explanation:

The mortgage on the land was assumed by the sole shareholder, the amount by which the dividend distribution should reduce Gelt's earnings and profits can be calculated using the following formula:

Amount of expected reduction in Gelt's earnings and profits = Adjusted basis of land - Mortgage on land ................. (1)

Where;

Adjusted basis of land = $6,500

Mortgage on land = $5,000

Substitute the values into equation (1), we have:

Amount of expected reduction in Gelt's earnings and profits = $6,500 - $5,000 = $1,500

Therefore, the amount by which the dividend distribution should reduce Gelt's earnings and profits is $1,500.

How are producers of commodities like clothing or food affected differently by globalization than consumers?

Answers

Answer:

Producers of commodities can be benefited or affected by globalization, while consumers are always benefited.

Explanation:

When domestic producers of a commodity produce at a higher price than the world price, they are affected because demand for their commodities fall, since consumers flock to the cheaper alternative: the commodities that are sold at the lower gold price.

The opposite occurs if domestic producers' prices are lower than the world price: they are benefited because consumers flock to them.

Consumers, on the other hand, are always benefited because they can opt to buy the commodities at the lowest price possible thanks to the increased specialization and competition that globalization brings to the market.

Producers of commodities can be affected by globalization, while on the other hand, consumers are always benefited.

Reason of clothing or food affected differently by globalization than consumers:

At the time when domestic producers of a commodity generated at a higher price as compared to the overall price, so this should be impacted since the demand should decline. Now in the case when the price of the domestic producer should be less than the price so it will be benefited to the consumers.

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Under the modern traditional theory, the sovereign may nationalize foreign-owned property only where: a. it is for a public purpose. b. the foreign firm that owned the property was operating it unprofitably. c. a communist government takes over the country. d. the foreign firm has continuously violated the laws of the host country.

Answers

Answer: a. it is for a public purpose.

Explanation:

According to the Modern Traditional theory on compensation which deals with the seizure of foreign-owned property by the government of the nation in which the property is located, the sovereign authorities may nationalize foreign-owned property if it is deemed to be for public use.

If the government has shown that nationalization is for the good of the nation, the theory espouses that it is allowed. They would however have to provide adequate compensation to those whom the property was seized from.

You own a stock portfolio invested 25 percent in Stock Q, 20 percent in Stock R, 10 percent in Stock S, and 45 percent in Stock T. The betas for these four stocks are 1.32, 1.26, 1.52, and 1.06, respectively. What is the portfolio beta?

Answers

Answer: 1.211

Explanation:

From the question, we are informed that an individual own a stock portfolio invested 25 percent in Stock Q, 20 percent in Stock R, 10 percent in Stock S, and 45 percent in Stock T and that the betas for these four stocks are 1.32, 1.26, 1.52, and 1.06, respectively.

The portfolio beta will be calculated as:

= (shares of Q × Beta of Q) + (shares of R × Beta R) + (shares of S × Beta S) + (shares of R * Beta T))/ Total Shares

=(25 × 1.32) + (20 × 1.26) + (10 × 1.52) + (45 × 1.06)/100

= (33 + 25.2 + 15.2 + 47.7) / 100

= 121.1/100

= 1.211

A young worker is starting her first job at a research lab. She spent four years
in college getting a degree in biology to prepare her for the career she
wanted. Then, she applied for a job at the lab and negotiated a good salary
for herself after she was hired.
This young worker is most likely part of which economic system?
A. Command economy
B. Market economy
C. Mixed economy
D. Traditional economy

Answers

Answer: Market economy

Explanation: A P E X

A company has 46,000 shares of common stock outstanding. The stockholders' equity applicable to common shares is $554,300, and the par value per common share is $10. The book value per share is:

Multiple Choice

$0.08.


$2.05.


$55.43.


$12.05.


$10.00.

Answers

Answer:

$10.00

Explanation:

In the GMP partnership (to which Elan seeks admittance), the capital balances of Mary, Gene, and Pat, who share income in the ratio of 6:3:1, are

Mary $266,400
Gene 133,200
Pat 44,400

Required:
a. If no goodwill or bonus is recorded, how much must Elan invest for a one-third interest?
b. Prepare journal entry for the admission of Elan if she invests $80,000 for a 20 percent interest and goodwill is recorded.
c. Prepare journal entry for the admission of Elan if she invests $200,000 for a 20 percent interest. Total capital will be $600,000; the partners use the bonus method.

Answers

Answer:

A. $222,000

B. Dr Cash $80,000

Dr Goodwill $31,000

Cr Elan, Capital $111,000

C. Dr Cash $200,000

Cr Mary, Capital $40,080

Cr Gene, Capital $20,040

Cr Pat, Capital $6,680

Cr Elan, Capital $133,200

Explanation:

A. Calculation to determine how much must Elan invest for a one-third interest

FIRST STEP is to calculate the 2/3 of the total resulting capital balance of Mary, Gene, and Pat

Mary $266,400

Gene $133,200

Pat $44,400

Total $444,000

Total resulting capital balance=($444,000÷2/3)

Total resulting capital balance= $444,000 ÷ .666666

Total resulting capital balance=$ 666,000

SECOND STEP is to calculate how much must Elan invest for a one-third interest

Investment for one-third interest= $666,000 x 1/3

Investment for one-third interest=$666,000 x .333333

Investment for one-third interest=$221,999.9

Investment for one-third interest=$222,000 (Approximately)

Therefore how much must Elan invest for a one-third interest is $222,000

B. Preparation of the journal entry for the admission of Elan if she invests $80,000 for a 20 percent interest and goodwill is recorded.

First step is to calculate the goodwill Estimated amount to the new partner

Estimated total capital $ 555,000

[($444,000÷(100%-20%)]

Less Total net assets ($524,000)

($444,000 + $80,000)

Estimated goodwill to the new partner $31,000

($ 555,000-$524,000)

Preparation of the journal entry

Dr Cash $80,000

Dr Goodwill $31,000

Cr Elan, Capital $111,000

[(444,,000÷(100%-20%)*20%)]

=($444,000/80%*20%=$111,000)

C. Preparation of journal entry for the admission of Elan if she invests $200,000 for a 20 percent interest while the Total capital will be $600,000.

FIRST STEP

Amount Invested in partnership $ 20,000

Less New partner's book value ($133,200)

[($444,000 + $222,000) x .20]

Difference $66,800

($200,000-$133,200)

Preparation of the journal entry using ratio 6:3:1

Dr Cash $200,000

Cr Mary, Capital $40,080

($66,800 x .60)

Cr Gene, Capital $20,040

($66,800 x .30)

Cr Pat, Capital $6,680

($66,800 x .10)

Cr Elan, Capital $133,200

($666,000 x .20)

Suppose your boss has asked you to write a letter to a client about a problem with their order. What format of writing would you use, and what kind of style would you use to write? Justify your response. :) please answer soon <3

Answers

Explanation:

If it is a letter written are put the adrees date and are put if it my boss are say dear boss

A firm has $848 in inventory, $1,740 in fixed assets, $668 in accounts receivable, $416 in net working capital, and $231 in cash. What is the amount of current liabilities

Answers

Answer:

$1,331

Explanation:

With regards to the above information, we need to calculate first current assets.

Current assets = $848 in inventory + $668 in accounts receivable + $231 in cash

Current assets = $1,747

Therefore,

Current liabilities = Current assets - Net working capital

Current liabilities = $1,747 - $416

Current liabilities = $1,331

What economic problem did many countries face as a result of world war 2

Answers

Answer:

trade deficits, lack of investment capital, and wide gaps between rich and poor

Explanation:

True or False: Raising annual trend growth by 0.5 percentage points would do much more for the next generation than eliminating cyclical fluctuations around the trend

Answers

Answer:

False

Explanation:

The cyclical fluctuations around the trend may be higher than the 0.5 percentage points at which the annual trend growth is being raised.  This implies that just raising the annual trend growth by a percentage point without due consideration of the cyclical fluctuation rates does not do much good for the next generation.  Therefore, holistic consideration should be paid to all factors before final decision is taken.

The following data relate to Department no. 2 of Young Corporation:
Segment contribution margin $480,000
Profit margin controllable by the segment manager 226,000
Segment profit margin 108,000.
On the basis of this information, fixed costs traceable to Department no. 2 but controllable by others are:
a) $122,000
b) $140,000
c) $250,000
d) $370,000
e) not determinable.

Answers

Answer:

e) not determinable.

Explanation:

Calculation for the fixed costs traceable to Department no. 2 but controllable by others

Profit margin controllable by the segment manager 226,000

Less Segment profit margin (108,000)

Fixed costs traceable to Department no. 2 but controllable by others $118,000

(226,000-108,000)

Therefore the Fixed costs traceable to Department no. 2 but controllable by others are: $118,000

The only thing a firm can and should do to balance the conflicting demands of being agile in a dynamic environment is to design systems and processes that can identify, assess, and develop technology based opportunities.

a. True
b. False

Answers

Answer:

b. False

Explanation:

By saying that's the "only thing a firm can and should do" makes the statement untrue because, in a scenario where there is conflicting demand, the firm may employ other methods.

Mcgahen Medical Clinic measures its activity in terms of patient-visits. Last month, the budgeted level of activity was 1,080 patient-visits and the actual level of activity was 990 patient-visits. The clinic's director budgets for variable overhead costs of $3.30 per patient-visit and fixed overhead costs of $10,600 per month. The actual variable overhead cost last month was $3,380 and the actual fixed overhead cost was $8,780. In the clinic's flexible budget performance report for last month, what would have been the variance for the total overhead cost?

Answers

Answer:

$1,707 Favorable

Explanation:

The variance will be the difference between the planned budget and the actual costs.

Variable costs are budgeted at $3.30 per customer visit, and fixed costs are $10,600 per month. There were 990 customer visits.

The variable cost budget will be

=$3.30 x 990

=$3,267

Fixed budget is $10,600

Total budget

= $10,600 + $3,267

=$13,867

the actual expenditure was

variable cost= $3,380

fixed costs=$8,780

total actual costs = $3,380 +$8,780

= $12,160

variance = $13,867 - $12,160

=$1,707

Based on the given information on Mcgahen medical clinic,  the variance for the total overhead cost is -$1,707

How to calculate variance of the overhead cost

To calculate the variance for the total overhead cost

First, get the flexible budget amount for variable overhead costs is:

Flexible budget amount for variable overhead costs = Budgeted variable overhead rate per patient-visit x Actual level of activity

= $3.30 x 990

= $3,267

The total flexible budget amount for overhead costs is:

Total flexible budget amount for overhead costs = Flexible budget amount for variable overhead costs + Fixed overhead costs

= $3,267 + $10,600

= $13,867

Now,  calculate the variance for the total overhead cost:

Total overhead cost variance = Actual overhead costs - Total flexible budget amount for overhead costs

= ($3,380 + $8,780) - $13,867

= $12,160 - $13,867

= -$1,707

The negative value for the variance indicates that the actual overhead costs were lower than the expected flexible budget amount for overhead costs.

Specifically, the clinic spent $1,707 less on overhead costs than it had planned for based on its budgeted level of activity.

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If average demand for an inventory item is 200 units per day, lead time is three days, and safety stock is 100 units, the reorder point is:

Answers

Answer:Reorder point =   700 units

Explanation:

Reorder point (ROP) is the minimum quantity OF inventory that a  business should have available in its stock  before the inventory is replenished or reordered .

Given

average demand for an inventory item =200 units per day

lead time = three days,

safety stock = 100 units

We have that  

Reorder point =  (Average daily unit sales x Lead time ) + Safety stock

=( 200 x 3 )+ 100

600 + 100

= 700 units

The minimum quantity of inventory of a stock that a firm should have available before the inventory is replenished.   The reorder point is 700 units.

Reorder point (ROP) :

It is the minimum quantity of inventory of a stock that a firm should have available before the inventory is replenished.  

Reorder point =  (Average daily unit sales x Lead time ) + Safety stock

Given Here,  

Average demand for an inventory item = 200 units/day  

Lead time = 3 days,  

Safety stock = 100 units  

Thus,    

Reorder Point = ( 200 x 3 )+ 100  

Reorder Point = 600 + 100  

Reorder Point = 700 units

Therefore, the reorder point is 700 units.

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Suppose a popular band decides to hold a free concert in its hometown. Admission is available on a first-come, first-served basis. This concert is an example of:

Answers

Answer: Private good

Explanation:

The main feature of a private good is rivalry and excludabilty. For a private good, when a consumer or when someone consumers or purchases the product, this will privemt others from enjoying such good.

Since the admission of the concert is available on a first-come, first-served basis, Thai means only those that quickly come will benefit while others will be excluded.

This is a private good.

"An investor expects a return of 14.7% on her portfolio with a beta of 1.13. If the expected market risk premium decreases from 8% to 7%, what return should she now expect on the portfolio?"

Answers

Answer:

13.57%

Explanation:

Calculation for what return should she now expect on the portfolio

Expected return = 14.7% + 1.13(7% − 8%)

Expected return = 14.7%+1.13(-1%)

Expected return = 14.7%-1.13

Expected return = 13.57%

Therefore the return she should expect now on the portfolio will be 13.57%

Suppose that market demand is Q = 660 – 12P and marginal cost is MC = 5. The consumer surplus in a perfectly competitive market is $___________, while the consumer surplus in a monopoly market is $ __________.

a. 5,000; 3,750

b. 15,000; 7,500

c. 15,000; 3,750

d. 0; 7,500

Answers

Answer: 15000; 3750

Explanation:

From the question,

Q = 660 – 12P

MC = 5

The consumer surplus in a perfectly competitive market will be:

P = MC

Therefore, P = 5

Q = 660 - 12P = 660 - 12(5) = 660 - 60 = 600

Consumer surplus = 1/2 × (55 - 5) (600)

= 1/2 × 50 × 600

= 15,000

For monopoly, MR = MC

Total Revenue = P × Q

Since Q= 660 - 12P

P = (660 - Q)/12

TR = P × Q

= (660 - Q)/12 × Q

= (660Q- Q²)/12 × Q

MR = (660 - 2Q)/12

MR = MC

(660 - 2Q)/12 = 5

(660 - 2Q) = 5 × 12

660 - 2Q = 60

2Q = 660 - 60

2Q = 600

Q = 600/2

Q= 300

Since P =(660 - Q)/12

= (660 - 300)/12

= 360/12

= 30

Consumer surplus = 1/2 × (55 - 30) (30)

= 1/2 × 25 × 300

= 3750

Therefore, the answer is 15000; 3750

g Cathy Rogers deposits $200 in currency in her checking account at a bank. This deposit is treated as:

Answers

Answer: 4) No change in the money supply because the $200 in currency has been converted to a $200 increase in checkable deposits

Explanation:

The money supply refers to the total amount of money currently in circulation. In this instance it remains the same because no new money was introduced into the economy.

All that has happened is that Ms. Rogers took her $200 which was already in circulation and part of money supply and deposited it in her checking account. The money is therefore still in circulation, just not in immediate cash.

Money supply therefore remains the same.

Premium priced products like those offered by Louis Vuitton are not likely to be distributed _______.

Answers

Answer:

b. intensively

Explanation:

Louis Vuitton products mostly deal with the suitcases, shoes, watches, jewelleries, sunglasses, etc. Their products would be sold via departments i.e. rental, online websites, stores, etc

So as per the given situation, their premium and pricing products could not be allocated intensively as for many people it cant be afforded due to the high prices.

So the correct option is b.

suppose that the city of springfield decides to regulate the company. if the city requires the monopoly to charge a normal profit price, the company will charge

Answers

Answer:

The monopolist company will charge $7 and sell 90 units.

Explanation:

If the city of Springfield regulates the monopolist, it will require the company to charge a price of $7, which is the normal profit price, according to the attached diagram.  Ordinarily, the monopolist, if unregulated, may decide to increase the price it charges to $10.  At such a price, there is no market equilibrium.  But monopolists are better regulated for the market to achieve equilibrium in the market supply and demand of the goods or services.

Retained earnings: Multiple Choice Are never adjusted for anything other than net income or dividends. Represents the amount shareholders are guaranteed to receive upon company liquidation. Represent an amount of cash available to pay shareholders. Can only be appropriated by setting aside a cash fund. Generally consists of a company's cumulative net income less any net losses and dividends declared since its inception. PrevQuestion 12 of 20 Total12 of 20Visit question map

Answers

Answer:

Generally consists of a company's cumulative net income less any net losses and dividends declared since its inception

Explanation:

Retained earning is the balance of a company's profit that is retained after the distribution of dividend declared to it's shareholders.

A company that makes profit at the end of a reporting period usually make dividend declaration to its shareholder. The accumulation of these declarations are then taken out of the profit earned by the company. The balance when dividends declared(since it's inception) by the company is taken out from its profit, including any net losses is known as retained earning.

A production possibilities frontier can shift outward if

Answers

Answer:

A production possibility frontier (PPF) illustrates the combinations of output of two products that a country can supply using all of their available factor inputs in an efficient way. One way the PPF can shift outwards is if there is an increase in the active labour supply

If the Federal Reserve lowers the target federal funds rate,

a. liquidity in the banking system is increased
b. the discount rate rises
c. securities prices fall
d. required reserves are decreased

Answers

Answer:

a. liquidity in the banking system is increased

Explanation:

Federal fund rate is the rate of interest where a depository institution lends the money that is maintained at the federal reserve for other depository institution. It would be applied to the creditworthy institution who is very creditworthy for the loans i.e. overnight

Now in the case when the federal reserve reduce the fund rate of target federal so the possibility of borrowing would be cheaper that rise the liquidity

Hence, the option a is correct

Cullumber Company bought equipment for $150000 on January 1, 2021. Cullumber estimated the useful life to be 5 years with no salvage value, and the straight-line method of depreciation will be used. On January 1, 2022, Cullumber decides that the business will use the equipment for a total of 6 years. What is the revised depreciation expense for 2022?
a. $30000
b. $12000
c. $24000
d. $20000

Answers

Answer:

Annual depreciation 2022= $24,000

Explanation:

Giving the following information:

Purchase price= $150,000

Useful life= 5 years

Salvage value= $0

First, we need to calculate the annual depreciation for 2021:

Annual depreciation= (original cost - salvage value)/estimated life (years)

Annual depreciation= (150,000 - 0) / 5

Annual depreciation= $30,000

Now, the revised depreciation:

Annual depreciation= (150,000 - 30,000) / 5

Annual depreciation= $24,000

We divide by 5 years because one year has passed.

In order to evaluate risk, management may also set qualitative risk classes. Rank these four projects from least risky to most risky, all other things being equal. Completely new market in United States. Completely new market in South America. Addition to normal product line. Repair to old machinery.

Answers

Answer:

Ranking projects from least risky to most risky:

1. Repair to old machinery.

2. Addition to normal product line.

3. Completely new market in United States.

4. Completely new market in South America.

Explanation:

As can be seen from the above scenario, the risk profile increases as the company's activities move away from the known, controllable, and internal arenas to the unknown, uncontrollable, and external arenas.  This implies that increasing uncertainty induces more risk.

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