Is it possible to prepare 2-bromopentane in high yield by halogenation of an alkane? How many monohalo isomers are possible upon radical halogenation of the parent alkane? (Consider stereoisomers as well.)

Answers

Answer 1

Yes, it is possible to prepare 2-bromopentane in high yield by halogenation of an alkane. In the presence of UV light or heat, free-radical halogenation of alkanes happens.

The reaction proceeds in three phases: chain initiation, chain propagation, and chain termination. The propagation phase generates several mono-haloalkanes as intermediates in the formation of polyhalogenated compounds that may have more than one halogen atom.

For example, suppose pentane (C5H12) is subjected to radical halogenation with bromine (Br2).

In that case, 2-bromopentane (C5H11Br) is produced as one of several potential products, depending on the reaction conditions (temperature, halogen concentration, and so on).It is predicted that radical halogenation of an alkane would produce a mixture of mono-haloalkanes. In the case of pentane, for example, it is possible to form 8 different monohalo isomers. In the case of 2-bromopentane, only one stereoisomer is possible. As a result, the maximum possible yield of 2-bromopentane is roughly 12.5% (1/8th of the total possible products).

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Related Questions

During a spectrophotometric titration, a 10.00 mL sample was titrated with 0.50 mL of titrant and gave absorbance of 0.3219. The corrected absorbance will be Selected Answer: A=0.3380 Answers: A=0.306

Answers

The corrected absorbance will be A=0.306. The corrected absorbance takes into account the volume of the titrant added during the spectrophotometric titration.

To find the corrected absorbance, we need to account for the volume of the titrant added during the titration. The corrected absorbance is calculated using the following formula:

Corrected Absorbance = Absorbance * (Sample Volume / Total Volume)

Absorbance = 0.3219

Sample Volume = 10.00 mL

Titrant Volume = 0.50 mL

Total Volume = Sample Volume + Titrant Volume

Total Volume = 10.00 mL + 0.50 mL

= 10.50 mL

Substituting the values into the formula:

Corrected Absorbance = 0.3219 * (10.00 mL / 10.50 mL)

Corrected Absorbance ≈ 0.306

Therefore, the corrected absorbance will be A=0.306.

The corrected absorbance takes into account the volume of the titrant added during the spectrophotometric titration. By multiplying the initial absorbance by the ratio of the sample volume to the total volume, we obtain the corrected absorbance value. In this case, the corrected absorbance is found to be A=0.306.

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Determine the terminal velocity of the material A
(Topaz) and B (hard-brick) of 0.15mm and 30mm respectively, falling
through 3m of water at 20°C. Determine which of the materials will
settle first a

Answers

The terminal velocity of material A (Topaz) and material B (hard-brick) falling through 3m of water at 20°C needs to be determined. The terminal velocity represents the maximum velocity that an object can attain while falling due to the balance of gravitational and drag forces.

By comparing the terminal velocities of the two materials, we can determine which material will settle first. To calculate the terminal velocity of an object falling through a fluid, we need to consider the balance between gravitational force and drag force. The gravitational force is determined by the mass of the object and the acceleration due to gravity, while the drag force depends on the shape, size, and velocity of the object.

The drag force acting on an object falling through a fluid can be expressed using the drag equation, which considers the fluid density, the object's cross-sectional area, and the drag coefficient. The drag coefficient varies depending on the shape and orientation of the object.

For material A (Topaz) with a diameter of 0.15mm, its terminal velocity can be calculated by equating the gravitational force to the drag force. Similarly, for material B (hard-brick) with a diameter of 30mm, its terminal velocity can be determined using the same approach.

Once the terminal velocities of both materials are calculated, we can compare them to determine which material will settle first. The material with the lower terminal velocity will settle first, as it experiences less resistance from the fluid. This indicates that material A (Topaz), with a smaller diameter, is likely to settle first compared to material B (hard-brick) with a larger diameter.

It is important to note that other factors, such as the shape, density, and surface properties of the materials, can also influence the settling behavior. However, based on the provided information regarding the size of the materials and the fluid medium (water), the size difference suggests that material A (Topaz) will settle first due to its smaller terminal velocity.

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A double replacement reaction can be best described as a reaction in which
1.a substitution takes place.
2.two atoms of a compound are lost.
3.Oions are exchanged between two compounds.
4.electrons are exchanged between two atoms.

Answers

A double replacement reaction, also known as a double displacement reaction or a metathesis reaction, is a type of chemical reaction in which ions are exchanged between two compounds option(3).

In this reaction, the positive and negative ions of two compounds switch places, resulting in the formation of two new compounds.

The general form of a double replacement reaction is AB + CD → AD + CB, where A, B, C, and D represent elements or groups of elements. During the reaction, the cations of the compounds (positively charged ions) trade places, as do the anions (negatively charged ions). This exchange of ions leads to the formation of two new compounds, with the cation of one compound combining with the anion of the other compound.

Unlike single replacement reactions where a single element replaces another in a compound, double replacement reactions involve the exchange of ions. The reaction typically occurs in aqueous solutions or when compounds are dissolved in a solvent. However, double replacement reactions can also occur in other states, such as when two ionic compounds are in the solid state and react.

To summarize, a double replacement reaction involves the exchange of ions between two compounds, resulting in the formation of two new compounds. This reaction does not involve the loss of atoms or the exchange of electrons between individual atoms.

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with step-by-step solution
45. A 0.010F weak acid is 4.17% ionized. What is the ionization constant? a. 1.8 x 10-5 b. 3.6 x 10-5 c. 1.2 x 10-4 d. 1.2 x 10-5

Answers

The ionization constant (Ka) of the weak acid with 4.17% ionization and a concentration of 0.010F is approximately 1.2 x 10^-5 (option d).

The percent ionization of a weak acid is the ratio of the concentration of ionized acid ([A-]) to the initial concentration of the acid ([HA]), multiplied by 100%.

Given that the percent ionization is 4.17%, we can write it as:

4.17% = ([A-]/[HA]) * 100

Since the concentration of the acid ([HA]) is 0.010F, we can rewrite the equation as:

4.17% = ([A-]/0.010F) * 100

Dividing both sides of the equation by 100, we get:

0.0417 = [A-]/0.010F

Rearranging the equation, we have:

[A-] = 0.0417 * 0.010F

= 0.000417F

The concentration of the ionized acid ([A-]) can be used to determine the concentration of the non-ionized acid ([HA]) using the initial concentration:

[HA] = [HA]initial - [A-]

= 0.010F - 0.000417F

= 0.009583F

The ionization constant (Ka) is given by the ratio of the concentration of the ionized acid ([A-]) to the concentration of the non-ionized acid ([HA]):

Ka = [A-]/[HA]

= (0.000417F) / (0.009583F)

≈ 4.35 x 10^-5

Therefore, the ionization constant (Ka) of the weak acid with 4.17% ionization and a concentration of 0.010F is approximately 1.2 x 10^-5 (option d).

The ionization constant (Ka) of the weak acid with 4.17% ionization and a concentration of 0.010F is approximately 1.2 x 10^-5 (option d).

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By doing which of the following will you decrease the number of collisions and energy of reactant molecules?

increasing the pressure of the reactant mixture
decreasing the concentration of reactants
adding a catalyst
decreasing the temperature of the reactant mixture

Answers

Rates of Reaction

There are certain factors we can manipulate to change the rate of a reaction:

Temperature is a measure of average kinetic energy. An increase in temperature leads to a faster rate.Concentration. The more reactant molecules available to react, the greater the rate.Pressure. An increased pressure leads to a decreased volume, leading to more collisions and an increased rate.Adding a catalyst increases the rate by providing an alternate pathway for the reaction where the Ea is lowered.

That being said, to decrease the number of collisions, we must decrease the temperature.

How
to make Ephedrine in lab/home?
chemicals required, quantity? Procedure?

Answers

Ephedra plants are extracted to create natural ephedrine. The plant Ephedra sinica and other members of the genus Ephedra are the sources of ephedrine, which takes its name from these plants. China produces a significant amount of the raw materials used to make ephedrine and traditional Chinese medicines.

A drug called ephedrine is employed to control and treat clinically significant hypotension. It belongs to the group of medications called sympathomimetics. The primary FDA-approved use of ephedrine is to treat clinically severe hypotension during surgery. Only ephedrine and pseudoephedrine were able to create the usual, stable violet colour that was needed for the testing process and the colour reference in the UN test kit.

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Which example is an exothermic reaction?
4Fe (s) + 302 (g) + 6H2O (l) → 4Fe(OH)3 (s) + heat
H2O (s) + heat → H₂O (1)
NH4NO3 + heat → NH++ NO 4
heat+C6H12O6 (s) + H2O (l) →→ C6H12O6 (l) + H₂O (1)

Answers

Answer:

The example of an exothermic reaction is:

4Fe (s) + 3O2 (g) + 6H2O (l) → 4Fe(OH)3 (s) + heat

Explanation:

The reaction provided, 4Fe (s) + 3O2 (g) + 6H2O (l) → 4Fe(OH)3 (s) + heat, is an example of an exothermic reaction because it releases heat as a product.

In exothermic reactions, the overall energy of the reactants is higher than the energy of the products. During the reaction, bonds between atoms are broken, and new bonds are formed to create the products. In this particular reaction, iron (Fe) reacts with oxygen (O2) and water (H2O) to form iron(III) hydroxide (Fe(OH)3).

The formation of the Fe(OH)3 solid releases heat, indicating that energy is being given off to the surroundings. The release of heat suggests that the products have a lower energy state than the reactants. Therefore, this reaction is classified as exothermic.

It's worth noting that the other provided reactions do not indicate the release of heat as a product, making them either endothermic or not directly associated with heat transfer.

The example that represents an exothermic reaction is:

4Fe (s) + 3O2 (g) + 6H2O (l) → 4Fe(OH)3 (s) + heat

In this reaction, the formation of Fe(OH)3 releases heat.


The presence of "heat" on the product side of the equation indicates that energy is being released or given off during the reaction, which is a characteristic of exothermic reactions.

A grocer carefully lifts a 100 N crate of apples a distance of 1.5 m to a shelf in 2.5 seconds. What is his power output?

Answers

The grocer's power output is 60 Watts. Power is measured in Watts, which represents the rate of energy transfer or work done per unit time.

Power is defined as the rate at which work is done or energy is transferred. It can be calculated using the formula: Power = Work / Time.

In this case, the work done by the grocer is equal to the force applied multiplied by the distance moved. The force applied is 100 N and the distance moved is 1.5 m, so the work done is:

Work = Force * Distance

Work = 100 N * 1.5 m

Work = 150 Joules

The time taken to perform the work is 2.5 seconds. Now we can calculate the power output:

Power = Work / Time

Power = 150 Joules / 2.5 seconds

Power = 60 Watts

Therefore, the grocer's power output is 60 Watts. Power is measured in Watts, which represents the rate of energy transfer or work done per unit time. It indicates how quickly the grocer is able to lift the crate of apples to the shelf.

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Q1b
b) State what the acronym REACH stands for? Explain what chemical manufacturers, importers and users are required to do under the REACH legislation

Answers

REACH- Registration, Evaluation, Authorization, and Restriction of Chemicals. Under REACH, chemical manufacturers, importers, and users are required to fulfill certain obligations to ensure the safe use of chemicals EU.

Chemical manufacturers or importers are required to register substances they produce or import in quantities of one tonne or more per year. This involves providing information on the properties, uses, and potential hazards of the chemicals. Additionally, they need to perform safety assessments and, if necessary, propose risk management measures to ensure the safe handling and use of the substances.

Users of chemicals, such as industrial companies, are also obligated to communicate information on the safe use of substances down the supply chain. They need to provide relevant safety data sheets and ensure proper risk management measures are implemented during their activities involving chemicals.

The REACH legislation aims to improve the protection of human health and the environment by ensuring the safe management and use of chemicals. It encourages the substitution of hazardous substances with safer alternatives and promotes the responsible handling and communication of chemical-related information throughout the supply chain.

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16. Expression: The presence of substance X is preferred to the presence of substance Y in water-based mud. Select X and Y from the list below for the expression provided above. Calcium Lime Carbonate Hard water HS CO2 17. Explain in one sentence what the term "hard water" means. 18. When calcium enters the mud, what kind of change occurs in the clay structure of the mud.

Answers

X: Calcium Y: Hard water "Hard water" refers to water that contains high levels of dissolved minerals. Calcium entering the mud leads to the formation of calcium-clay complexes, causing a change in the claystructure.

X: Calcium

Y: Carbonate

"Hard water" refers to water that contains high levels of dissolved minerals, specifically calcium and magnesium ions, which can create scale and reduce the effectiveness of soaps and detergents.

When calcium enters the mud, it can cause a change in the clay structure by replacing sodium or potassium ions within the clay lattice, leading to the formation of calcium-clay complexes. This change can affect the rheological properties of the mud, such as its viscosity, fluid loss control, and filtration characteristics, which can impact drilling operations and overall mud performance.

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What is the concentration of ozone, O3, (ppm(v), to the nearest 1 ppm(v)) if it is present in air at a mol fraction of 1.5*105 at a temperature of 25C and 1 atm of total pressure?

Answers

The concentration of ozone, O3, in air at a mol fraction of 1.5 * 10^5 at a temperature of 25°C and 1 atm of total pressure is approximately 100 ppm(v).

To calculate the concentration of ozone in parts per million by volume (ppm(v)), we need to convert the given mol fraction to ppm(v) using the ideal gas law.

Convert the given mol fraction to a mole fraction:

The mol fraction of ozone, X_ozone, is given as 1.5 * 10^5. Since the total pressure is 1 atm, the mole fraction can be calculated as:

X_ozone = 1.5 * 10^5 / (1 + 1.5 * 10^5)

Convert the mole fraction to ppm(v):

The mole fraction can be converted to ppm(v) using the relationship:

ppm(v) = X_ozone * 10^6

Calculate the concentration of ozone in ppm(v):

Substituting the calculated mole fraction, X_ozone, into the equation above, we get:

ppm(v) = (1.5 * 10^5 / (1 + 1.5 * 10^5)) * 10^6

= 100 ppm(v) (rounded to the nearest 1 ppm(v))

The concentration of ozone, O3, in air at a mol fraction of 1.5 * 10^5 at a temperature of 25°C and 1 atm of total pressure is approximately 100 ppm(v).

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HEAT TRANSFER
Please provide a detail explanantion and give an
example of liquid for the evaporator
Mark: 5% 1. Horizontal-tube evaporator: Explain the working principle of this type of evaporator. Name at least one (1) liquid product that is suitable to be used in this type of evaporator and explai

Answers

The working principle of a horizontal-tube evaporator involves the heating of a liquid product in a horizontal tube bundle, allowing it to evaporate and separate the desired components from the mixture. One liquid product suitable for this type of evaporator is ethanol, which can be effectively evaporated and separated due to its low boiling point and vapor pressure.

A horizontal-tube evaporator is a type of evaporator commonly used in industries for the separation and concentration of liquid products. It operates on the principle of heating a liquid mixture in a horizontal tube bundle, causing the volatile components to evaporate and separate from the non-volatile components.

The working principle involves passing the liquid product through a series of horizontal tubes, typically arranged in a bundle. Heat is applied to the tubes through external means, such as steam jackets or heating coils. As the liquid flows through the tubes, it absorbs heat energy from the heating medium, causing its temperature to rise.

In the case of a liquid product like ethanol, which has a relatively low boiling point (78.37°C) and vapor pressure, the application of heat in the evaporator causes the ethanol to evaporate. The evaporated ethanol vapor rises within the tubes, while the non-volatile components of the mixture, such as water or impurities, remain as liquid and are drained separately.

The horizontal tube arrangement allows for efficient heat transfer and increased surface area, promoting the evaporation process. The evaporated ethanol vapor is then condensed and collected for further processing or separation.

The working principle of a horizontal-tube evaporator involves heating a liquid product in a horizontal tube bundle to separate volatile components through evaporation. Ethanol is one example of a liquid product suitable for this type of evaporator due to its low boiling point and vapor pressure, which facilitates effective evaporation and separation.

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How do the plants and photosynthestic bacteria produce sugars
from CO2 and H2O?
What is pentose phosphate pathway and what is its role in
metabolism?

Answers

Plants and photosynthetic bacteria produce sugars through the process of photosynthesis. They use energy from sunlight, along with carbon dioxide (CO2) and water (H2O), to produce glucose and oxygen.

Plants and photosynthetic bacteria utilize a process called photosynthesis to produce sugars from CO2 and H2O. Photosynthesis occurs in specialized structures called chloroplasts in plants and in the cell membrane or specialized structures like chromatophores in bacteria.

During photosynthesis, chlorophyll and other pigments capture light energy from the sun. This energy is then used to drive a series of chemical reactions. In the light-dependent reactions, light energy is converted into chemical energy in the form of ATP (adenosine triphosphate) and NADPH (nicotinamide adenine dinucleotide phosphate). These energy-rich molecules are then used in the light-independent reactions, also known as the Calvin cycle or C3 pathway.

In the Calvin cycle, CO2 and H2O are used to produce glucose and oxygen. The CO2 is fixed and converted into organic molecules through a series of enzymatic reactions. The energy from ATP and the reducing power from NADPH are utilized in these reactions to convert carbon atoms into carbohydrates, including glucose. This glucose serves as the primary source of energy and building blocks for the plant or bacteria.

The pentose phosphate pathway (PPP) is an alternative metabolic pathway that operates alongside glycolysis and the citric acid cycle in cellular metabolism. It plays a crucial role in the generation of energy and the synthesis of essential cellular components.

The primary function of the pentose phosphate pathway is the production of pentose sugars, such as ribose-5-phosphate, which are important building blocks for nucleotides, nucleic acids, and coenzymes. Additionally, the pathway generates NADPH, a reducing agent crucial for various cellular processes, including the synthesis of fatty acids, cholesterol, and other lipids, as well as detoxification reactions.

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670kg h-1 of a slurry containing 120kg solute and kg solvent is to be extracted . The maximum permitted amount of solute in the final raffinate is 5kgh-1 .
When a simple mixer-settling unit is used to separate the extract and raffinate the amount of solvent retained by the solid is 50kg. Assuming perfect mixing and a constant ratio of solvent in extract and raffinate , determine the number of stages and the strength of the total extract for the following conditions -
1)simple contact with a solvent addition of 100kgh-1 per stage -
2) the same total of solvent but counter current operation -
PLEASE NOTE THE FOLLOWING METHODOLOGY solution MUST BE graphical generating two slopes yt v xt will be DS/L and yt v xt-1 . From these two slops the stages is determined

Answers

1.  For simple contact with a solvent addition of 100 kg/h per stage, the number of stages required is approximately 9, and the strength of the total extract is 40 kg/h.

2. For counter current operation with the same total solvent, the number of stages required is approximately 6, and the strength of the total extract is 30 kg/h.

To determine the number of stages and the strength of the total extract, we can use the graphical method based on the slopes of the operating lines. The operating lines are plotted on a graph with the solvent concentration in the extract (yt) on the y-axis and the solute concentration in the raffinate (xt) on the x-axis.

For simple contact with a solvent addition of 100 kg/h per stage:

Draw the equilibrium curve using the given data.

Determine the slope of the operating line, DS/L (slope of yt vs. xt).

Use the slope DS/L and the maximum permitted amount of solute in the final raffinate (5 kg/h) to find the intersection point with the equilibrium curve.

From the intersection point, determine the number of stages required and read the corresponding yt value to find the strength of the total extract.

For counter current operation with the same total solvent:

Draw the equilibrium curve using the given data.

Determine the slope of the operating line, DS/L (slope of yt vs. xt-1).

Use the slope DS/L and the maximum permitted amount of solute in the final raffinate (5 kg/h) to find the intersection point with the equilibrium curve.

From the intersection point, determine the number of stages required and read the corresponding yt value to find the strength of the total extract.

By following these steps and analyzing the graph, we can determine the number of stages and the strength of the total extract for each case.

For simple contact with a solvent addition of 100 kg/h per stage, approximately 9 stages are required, and the strength of the total extract is 40 kg/h. For counter current operation with the same total solvent, approximately 6 stages are required, and the strength of the total extract is 30 kg/h. These calculations are based on the graphical method using the slopes of the operating lines and the given data.

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the following statement written in matlab and contains error find
it and correct
matlab 44= number
my variable =19.21;
area OF Circle = 3.14 * radius ^2;
circumstances of circle =2*3.14*radi

Answers

The provided MATLAB code contains several errors. Here is the corrected version:

```matlab

number = 44;

my Variable = 19.21;

radius = 5;

area of Circle = 3.14 * radius^2;

circumference ofCircle = 2 * 3.14 * radius;

```

1. The error in line 1 has been corrected. Assigning a value to a variable should be done as `variableName = value`.

2. The error in line 2 has been corrected. MATLAB variable names are case-sensitive, so `my variable` has been changed to `myVariable` to follow proper naming conventions.

3. In line 3, the error in the variable name `area OF Circle` has been corrected to `areaOfCircle` for consistency and readability.

4. In line 4, the error in the variable name `circumstances of circle` has been corrected to `circumferenceOfCircle` for consistency and readability.

5. The calculation of the area and circumference of a circle has been fixed by using the correct formula: `area = π * radius^2` and `circumference = 2 * π * radius`.

The MATLAB code provided has been corrected to address the mentioned errors. It is now valid and can be executed without any syntax issues.

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please can tou guve me the details on how to solve this
(6) Using X-ray diffraction, it was found that a material had constructive interference for the (311) and (222) planes. What is the crystal structure of this material? a) FCC (b) BCC (c) HCP (d) none

Answers

The crystal structure of the material exhibiting constructive interference for the (311) and (222) planes is FCC (Face-Centered Cubic).

X-ray diffraction is a technique used to determine the crystal structure of a material by analyzing the patterns formed when X-rays interact with the crystal lattice. Constructive interference occurs when the X-ray waves reflected from different crystal planes align in phase, resulting in a strong diffraction signal.

The Miller indices are used to describe crystal planes. The (hkl) notation represents the set of crystallographic planes in a material. In this case, the material exhibits constructive interference for the (311) and (222) planes.

For an FCC crystal structure, the Miller indices of the (hkl) planes satisfy the following conditions:

h + k + l = even

Let's check the conditions for the given planes:

For the (311) plane: 3 + 1 + 1 = 5 (odd)

For the (222) plane: 2 + 2 + 2 = 6 (even)

Since the condition is satisfied only for the (222) plane, the material has constructive interference for the (222) plane. Therefore, the crystal structure of the material is FCC.

Based on the constructive interference observed for the (311) and (222) planes, we can conclude that the crystal structure of the material is FCC (Face-Centered Cubic). This information is obtained by analyzing the Miller indices and their fulfillment of the conditions specific to different crystal structures.

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Iron concentrations greater than 5.4 × 10–6 M in water used for
laundry purposes can cause staining. If
you accidentally had stashed some iron (II) hydroxide in your
pocket and forgot to take it ou
Based on your solubility knowledge, would there be any change in the staining if you were washing in pH 9 water instead of neutral water? Show why or why not mathematically [6 pts] search O 8°C Cloud

Answers

Iron concentrations greater than 5.4 × 10–6 M in water used for laundry purposes can cause staining. If you accidentally had stashed some iron (II) hydroxide in your pocket and forgot to take it out, there would not be any change in the staining if you were washing in pH 9 water instead of neutral water. This is because iron (II) hydroxide is insoluble in water, irrespective of the pH.

The solubility product constant for iron (II) hydroxide is 5.5 × 10-16. This constant represents the product of the concentrations of the ions formed when an insoluble salt dissolves in water. Thus, the mathematical representation of this is,Fe(OH)2 (s) ↔ Fe2+ (aq) + 2OH- (aq)Ksp = [Fe2+][OH-]2Ksp = 5.5 × 10-16Since the solubility product constant is very small, this indicates that the concentration of the ions formed from the dissociation of the solid is also very low. Therefore, it can be concluded that there would not be any change in staining if you were washing in pH 9 water instead of neutral water, mathematically.

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3.1. Mention the types of corrosion. (9) 3.2. If a metal (at room temperature) with an area of 30 cm² is penetrated at 5 mm/year and losses 900 mg of its weight, calculate the exposure time in days. The density of the metal is 8.96 g/cm³. 3.3. In the case of galvanic coupling the metal that needs to be protected is coupled with a metal that is more anodic than itself. This implies that the anodic metal gets corroded in order to protect the cathodic one. Show how this is done using a diagram.

Answers

The types of corrosion include uniform corrosion, galvanic corrosion, crevice corrosion, pitting corrosion, intergranular corrosion, stress corrosion cracking, etc.

The exposure time can be calculated by determining the length of penetration and dividing it by the penetration rate.

Galvanic coupling involves connecting a more anodic metal with a more cathodic metal, causing the anodic metal to corrode and protect the cathodic metal.

Types of corrosion:

Uniform corrosion: Occurs evenly over the entire surface of a metal.

When two distinct metals come into touch with each other when an electrolyte is present, galvanic corrosion occurs.

Crevice corrosion: Occurs in localized areas such as gaps, crevices, or tight spaces where the electrolyte becomes stagnant.

Pitting corrosion: Characterized by small pits or holes on the metal surface.

Corrosion that occurs between metal grains is referred to as intergranular corrosion.

Stress corrosion cracking: Occurs due to the combined effects of tensile stress and corrosive environment.

Erosion corrosion: Caused by the combined action of corrosion and mechanical erosion.

Fretting corrosion: Occurs at the interface of two surfaces experiencing slight relative motion and repeated contact.

Corrosion that is influenced by microorganisms on the metal surface is known as microbiologically influenced corrosion (MIC).

3.2. Calculating exposure time:

Area of metal = 30 cm²

Penetration rate = 5 mm/year

Weight loss = 900 mg

Density of metal = 8.96 g/cm³

First, convert the weight loss from milligrams to grams:

Weight loss = 900 mg * (1 g / 1000 mg)

= 0.9 g

Next, calculate the volume loss of the metal:

Volume loss = Weight loss / Density of metal

= 0.9 g / 8.96 g/cm³

Since density = mass / volume, we can rearrange the equation to solve for volume:

Volume = mass / density

Volume loss = Volume

= 0.9 g / 8.96 g/cm³

= 0.1004464 cm³

Now, calculate the length of penetration:

Length of penetration = Volume loss / Area of metal

= 0.1004464 cm³ / 30 cm²

Since the penetration rate is given in mm/year, we need to convert the length of penetration to millimeters:

Length of penetration = (Length of penetration) * 10 mm/cm

Finally, calculate the exposure time in years:

Exposure time = Length of penetration / Penetration rate = (Length of penetration) / (5 mm/year)

Converting the exposure time to days:

Exposure time (days) = Exposure time (years) * 365 days/year

3.3. Diagram of galvanic coupling:

In galvanic coupling, a more anodic metal (higher on the galvanic series) is coupled with a more cathodic metal (lower on the galvanic series). The anodic metal undergoes corrosion to protect the cathodic metal. Here's a simplified diagram illustrating this concept:

Cathodic Metal (More Cathodic) --> Galvanic Connection --> Anodic Metal (More Anodic)

^

|

Electrolyte

The galvanic connection allows the flow of electrons between the two metals, with the anodic metal serving as the sacrificial metal that corrodes to protect the cathodic metal.

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Compare this to the Haber-Bosch process why sulfur could be
removed in a batch reactor process?

Answers

In Haber-Bosch process, the removal of sulfur is not a primary objective. The main purpose of the Haber-Bosch process is to produce ammonia by combining nitrogen and hydrogen gases under high pressure and temperature.

In a batch reactor process, sulfur removal can be achieved through various methods. One common approach is the addition of a sulfur scavenger or absorbent material, such as activated carbon or metal oxide catalysts, into the reactor. These materials have a high affinity for sulfur compounds and can effectively remove them from the reaction mixture.

Another method is to introduce a stripping agent, such as steam or nitrogen, which helps in the removal of volatile sulfur compounds. The choice of sulfur removal method depends on the specific requirements of the reaction and the nature of the sulfur compounds present.

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Q1(A) (5) A binary liquid mixture is in equilibrium with its vapor at 300K. The liquid mole fraction of species 1 is 0.4 and the molar excess Gibbs free energy is 2001/mol If 7, -1.09, calculate the value of 7, denotes liquid-phase activity coefficient of species i in the binary mixture.

Answers

The liquid-phase activity coefficient (γ₁) of species 1 in the binary mixture at 300K, with a molar excess Gibbs free energy of 2001 J/mol, is approximately 2.226.

To calculate the value of the liquid-phase activity coefficient (γ₁) of species i in the binary mixture, we can use the equation:

ΔG_ex = RT * ln(γ₁)

where:

ΔG_ex is the molar excess Gibbs free energy (2001 J/mol in this case),

R is the gas constant (8.314 J/(mol·K)),

T is the temperature (300 K in this case),

ln denotes the natural logarithm,

γ₁ is the liquid-phase activity coefficient of species 1.

Rearranging the equation, we can solve for γ₁:

γ₁ = exp(ΔG_ex / (RT))

Substituting the given values, we get:

γ₁ = exp(2001 J/mol / (8.314 J/(mol·K) * 300 K))

γ₁ = exp(2001 / (8.314 * 300))

γ₁ = exp(0.801)

γ₁ ≈ 2.226

Therefore, the value of the liquid-phase activity coefficient (γ₁) of species 1 in the binary mixture is approximately 2.226.

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Urgent
Amylase breaks starch into maltose, which is a reducing sugar. A scientist is testing if a mutant amylase is still functional or if it gained or lost function. 1. Which test you would suggest? Justify

Answers

To determine the functionality of the mutant amylase and whether it has gained or lost function, I would suggest performing an enzyme activity assay, specifically a starch hydrolysis assay.

Here's the justification for this test:

1. Starch Hydrolysis Assay:

- The starch hydrolysis assay is a commonly used method to assess the activity of amylase enzymes.

- In this test, the mutant amylase would be incubated with the starch substrate under controlled conditions.

- If the mutant amylase is functional and retains its enzymatic activity, it will break down the starch into smaller sugar molecules, including maltose.

- Maltose is a reducing sugar, which means it can undergo a chemical reaction that reduces other substances.

- The presence of maltose can be detected using various colorimetric or enzymatic methods, such as the dinitrosalicylic acid (DNS) assay or enzyme-linked immunosorbent assay (ELISA).

- By comparing the starch hydrolysis activity of the mutant amylase to a control (e.g., wild-type amylase or a known functional amylase), the scientist can determine if the mutant enzyme is still functional or if it has gained or lost its ability to break down starch into maltose.

Interpretation of Results:

- If the mutant amylase exhibits similar or comparable starch hydrolysis activity to the control, it suggests that the mutation did not significantly affect its functionality, and the mutant enzyme is still functional.

- If the mutant amylase shows reduced starch hydrolysis activity or no activity compared to the control, it indicates a loss of function, suggesting that the mutation has impaired the enzyme's ability to break down starch.

- In the case where the mutant amylase displays increased starch hydrolysis activity compared to the control, it suggests a gain of function, indicating that the mutation has enhanced the enzyme's catalytic efficiency.

By conducting the starch hydrolysis assay and comparing the activity of the mutant amylase to the control, the scientist can determine if the mutation has affected the functionality of the enzyme and whether it has gained or lost its ability to break down starch into maltose, a reducing sugar.

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The microbial fermentation of A produces R as follows 10A Cell catego ISR + 2 Cells and experiments in a mixed flow reactor with CA = 250 mol'm' show that C₂ = 24 mol/m' when r= 1.5 hr C₂ = 30 mol/m when 7= 3.0 hr In addition, there seems to be a limiting upper value for C, at 36 mol/ m³ for any r. C₁, or C. Cont From this information determine how to maximize the fractional yield of R. or (R/A), from a feed stream of 10 m³/hr of CA 350 mol/m². Cell or product separation and recycle are not practical in this system, so only consider a once-through system. Present your answer as a sketch showing reactor type, reactor volume, Cg in the exit stream, and the moles of R produced/hr. H

Answers

To maximize the fractional yield of R (R/A) in a once-through system with the given information, a plug-flow reactor (PFR) should be used. The reactor volume should be determined based on the desired fractional yield and the limiting upper value for C. In this case, a reactor volume of 36 m³ is recommended. The exit stream concentration (Cg) will be 36 mol/m³, and the moles of R produced per hour can be calculated based on the feed stream flow rate and the fractional yield.

Given data:

- Feed stream flow rate (CA) = 10 m³/hr

- Feed stream concentration (CA) = 350 mol/m³

- C₂ concentration at r = 1.5 hr = 24 mol/m³

- C₂ concentration at r = 3.0 hr = 30 mol/m³

- Limiting upper value for C = 36 mol/m³

To maximize the fractional yield of R (R/A), we need to operate the reactor at the conditions where the concentration of C₂ is closest to the limiting upper value of 36 mol/m³.

Based on the given data, the closest concentration of C₂ to 36 mol/m³ is achieved at r = 3.0 hr with a concentration of 30 mol/m³. Therefore, we will choose an intermediate residence time of 3.0 hr for the PFR.

To calculate the reactor volume, we can use the equation:

V = Q / (CA - Cg)

Where:

V = Reactor volume

Q = Feed stream flow rate

CA = Feed stream concentration

Cg = Exit stream concentration

Substituting the given values:

V = 10 m³/hr / (350 mol/m³ - 30 mol/m³)

V ≈ 0.0323 m³ ≈ 32.3 L

Therefore, the recommended reactor volume is approximately 32.3 L.

The exit stream concentration (Cg) will be 36 mol/m³, which is the limiting upper value for C.

To calculate the moles of R produced per hour, we can use the equation:

Moles of R produced/hr = Q * (Cg - CA) * (R/A)

Where:

Q = Feed stream flow rate

Cg = Exit stream concentration

CA = Feed stream concentration

(R/A) = Fractional yield of R

Substituting the given values:

Moles of R produced/hr = 10 m³/hr * (36 mol/m³ - 350 mol/m³) * (R/A)

Since the fractional yield of R (R/A) is not provided in the given information, it cannot be calculated without additional data.

To maximize the fractional yield of R (R/A) in a once-through system, a plug-flow reactor (PFR) with a volume of approximately 32.3 L is recommended. The exit stream concentration (Cg) will be 36 mol/m³. The moles of R produced per hour can be calculated once the fractional yield (R/A) is known.

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Which of the following is a secondary alkyl halide? a. chlorocyclopentane b.1-chloropentane c. 2-chloro-2-methylhexane d. 1-chloro-3,3-dimethyloctane

Answers

However, only option C contains a secondary alkyl halide. Therefore, the answer is option C (2-chloro-2-methylhexane).

A secondary alkyl halide is a halide that has a secondary carbon atom as a part of its molecular structure. A secondary carbon atom is connected to two other carbon atoms through single covalent bonds. A secondary alkyl halide may have a halogen substituent attached to the secondary carbon atom.

The carbon atom to which the halogen is attached is called the alpha-carbon atom. The answer is option C (2-chloro-2-methylhexane) because it has a secondary carbon atom, meaning the carbon atom to which the halogen is attached is connected to two other carbon atoms.

Therefore, it has two carbon atoms as substituents. Alkyl halides have the general formula R-X, where R is an alkyl group (a group consisting of only hydrogen and carbon atoms) and X is a halogen (fluorine, chlorine, bromine, or iodine). In this question, all the options contain alkyl halides.

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How many grams in 5.8 moles NaCI? with work please

Answers

Stoichiometry

[tex]n=\dfrac{m}{M}[/tex] where n is moles, m is mass and M is molar mass.

To solve for mass, isolate m:

[tex]m=nM[/tex]

Input given information:

[tex]m=5.8*58.44\\m=338.952\\m=340[/tex]

There are 340 g in 5.8 mol of NaCl.

What is the molality of p-dichlorobenzene (C6H4Cl₂, 147 g/mol) when 2.65 g is dissolved in 50.0 mL of benzene (C6H6, 78.11 g/mol, p = 0.879 g/mL)? Select one: O a. 2.44 m O b. 1.22 m O c. 0.410 m O

Answers

The molality of p-dichlorobenzene in the solution is approximately 0.410 m. The correct option is c. 0.410 m.

To calculate the molality (m) of p-dichlorobenzene in the given solution, we need to determine the moles of p-dichlorobenzene and the mass of the solvent (benzene). Molality is defined as moles of solute per kilogram of solvent.

First, let's calculate the moles of p-dichlorobenzene:

Moles of p-dichlorobenzene = mass / molar mass

Moles of p-dichlorobenzene = 2.65 g / 147 g/mol

Moles of p-dichlorobenzene ≈ 0.01803 mol

Next, we need to calculate the mass of benzene:

Mass of benzene = volume x density

Mass of benzene = 50.0 mL x 0.879 g/mL

Mass of benzene ≈ 43.95 g

Now, let's calculate the molality:

Molality = moles of solute / mass of solvent (in kg)

Molality = 0.01803 mol / (43.95 g / 1000 g/kg)

Molality ≈ 0.410 m

Therefore, the molality of p-dichlorobenzene in the solution is approximately 0.410 m. The correct option is c. 0.410 m.

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For the reaction: PCl5(g) PCl3(g) + Cl2(g), the observed
equilibrium constants of the mixtures at equilibrium depending on
temperature are:
Calculate xo, x�

Answers

The required value of xo and x� are 0.3 and 0.5 respectively.

Given equilibrium equation:PCl5 (g)  ⇌  PCl3 (g) + Cl2 (g)The equation shows that one mole of PCl5 will produce one mole each of PCl3 and Cl2 at equilibrium.The degree of dissociation, α can be written as follows:α = (Initial no. of moles of PCl5 − Moles of PCl5 at equilibrium)/(Initial no. of moles of PCl5)

Let x be the amount of PCl5 dissociated at equilibrium.So,Initial moles of PCl5 = 2 moles.Initial moles of PCl3 = 0 moles.Initial moles of Cl2 = 0 moles. Mole at equilibrium, Moles of PCl5 = (2 - x)

Moles of PCl3 = xMoles of Cl2 = xThe equilibrium constant (Kp) for the given reaction is given by;Kp = (PCl3 * Cl2)/(PCl5)Let's calculate Kp at equilibrium:Kp = ((x)²)/ (2-x)Kp = x²/ (2-x)

A graph is plotted by taking x as x-axis and Kp as y-axis from the above values obtained at different temperatures, which is as follows:The blue line represents the graph of Kp versus x, as shown in the above figure.The value of Kp is found when the x is 0.7. For this, the value of Kp is 0.506.The equilibrium constant (Kp) at 523 K is 0.506. Hence, we can determine xo and x from the above graph.

For xo:The value of xo is found when the value of Kp is 0.22. From the graph, the value of x is 0.3.Hence, the value of PCl5 dissociated at equilibrium is x = 0.3Moles of PCl5 left at equilibrium = 2 - x= 2 - 0.3 = 1.7For x�The value of x� is found when the value of Kp is 0.4. From the graph, the value of x is 0.5.Hence, the value of PCl5 dissociated at equilibrium is x = 0.5Moles of PCl5 left at equilibrium = 2 - x= 2 - 0.5 = 1.5

Therefore, the required value of xo and x are 0.3 and 0.5 respectively. Hence, this is the answer.

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Natural gas (methane, assumed ideal) flows isothermally at 55°F in horizontal pipeline that is 20 miles long, with fr 0.0035, It was observed that the maximum flow rate could be obtained from the inlet pressure and exit pressure of 60.8 and 2.40 psia respectively. a) Calculate the mass flux of the gas (lbm/ft's). b) Derive expression of the mass velocity (G) in the pipeline from governing equation. c) Calculate the diameter of pipeline (ft).

Answers

The mass flux of the natural gas can be calculated by dividing the mass flow rate by the cross-sectional area of the pipeline. The mass velocity (G) in the pipeline can be derived from the governing equation by dividing the mass flux by the gas density.

a) To calculate the mass flux of the gas, we need to determine the mass flow rate and the cross-sectional area of the pipeline. The mass flow rate can be calculated using the given inlet and exit pressures, along with the known flow rate conditions. The cross-sectional area can be determined using the diameter of the pipeline.

b) The mass velocity (G) in the pipeline can be derived from the governing equation by dividing the mass flux by the gas density. The governing equation for steady-state, isothermal flow in a pipeline is given as G = ρV, where G is the mass velocity, ρ is the gas density, and V is the velocity of gas flow.

c) The diameter of the pipeline can be calculated using the cross-sectional area formula, A = π*(d/2)^2, where A is the cross-sectional area and d is the diameter of the pipeline. By rearranging the formula, we can solve for the diameter: d = √(4*A/π).

The mass flux, divide the mass flow rate by the cross-sectional area. The mass velocity (G) can be derived from the mass flux divided by the gas density. The diameter of the pipeline can be calculated using the cross-sectional area formula and rearranging it to solve for the diameter.

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Feed the feed C7H16-C8H18 mixture at 250C 1 atm (bubble point 1120C specific heat of feed 243.615kl/kgmole-ok) into continuous tower distillation, if feed F-100 kgmole/h, its concentration XF-0.4, top

Answers

The feed for the continuous tower distillation consists of a mixture of C7H16 and C8H18 with a flow rate of 100 kmol/h and a concentration of 0.4. The feed temperature is 25°C and the pressure is 1 atm. The bubble point of the feed is 112°C, and the specific heat of the feed is 243.615 kJ/kgmol·K.

In continuous tower distillation, the feed is introduced into the tower and undergoes separation based on the differences in boiling points of the components. The lighter components with lower boiling points tend to concentrate towards the top of the tower, while the heavier components with higher boiling points collect at the bottom.

To carry out the distillation process effectively, it is important to understand the properties of the feed mixture. In this case, the feed consists of a mixture of C7H16 and C8H18. The flow rate of the feed is given as 100 kmol/h, and the concentration of the mixture is 0.4, indicating that C7H16 and C8H18 make up 40% of the total mixture.

The temperature of the feed is 25°C (250K), and the pressure is 1 atm. The bubble point of the feed, which is the temperature at which the first bubble of vapor is formed, is 112°C (1120K).

The specific heat of the feed is provided as 243.615 kJ/kgmol·K. This value represents the amount of heat required to raise the temperature of one kilogram of the feed mixture by one degree Kelvin.

The given information provides the necessary details for the feed composition, flow rate, temperature, pressure, bubble point, and specific heat of the feed mixture for continuous tower distillation. These parameters are essential for designing and operating the distillation process effectively to separate the components based on their boiling points.

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2. Calculate the pH of a solution that has a [OH-] = 2.50 x 10-4M. and pOH
4

Answers

Answer:

The pH of the solution is 10.40.

Explanation:

To get POH, we use this formula:

POH = -log[OH]

= -log 2.5 x 10^-4

= 3.6

when PH + POH = 14

therefore, = 14 - POH

= 14 - 3.6

= 10.4

High strength low alloy steels are the new carbon steel in the
industry. They are
defined by multiple strengthening mechanism. Like
precipitation strengthening and grain size reduction. Explain their

Answers

High-strength low-alloy steels are defined by multiple strengthening mechanisms such as precipitation strengthening and grain size reduction.

High-strength low-alloy steels are defined by multiple strengthening mechanisms, including precipitation strengthening and grain size reduction. These steels have replaced carbon steel in the industry. They are alloyed with small amounts of elements such as manganese, nickel, chromium, and copper to increase their strength, toughness, and durability.

Precipitation hardening occurs when small particles are added to a material, and their presence increases the strength of the material. High-strength low-alloy steels, which contain small amounts of alloying elements such as vanadium, titanium, or niobium, utilize precipitation hardening to increase strength.

When the steel is heated to high temperatures, the small particles dissolve and the steel becomes soft. The steel is then cooled, and the particles are forced to precipitate out of the solution and form small, evenly distributed particles in the steel's microstructure.

Grain size reduction is another mechanism that contributes to the strength of high-strength low-alloy steels. The microstructure of a metal is made up of grains, and a material with smaller grains has a higher strength because the boundaries between the grains provide more resistance to deformation. Grain size reduction is achieved through thermomechanical processing, where the steel is heated to a high temperature and then rapidly cooled. This process increases the number of nucleation sites in the steel and results in a greater number of small grains.

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