Total market surplus is computed by adding total benefits and entire expenses. Following the imposition of the price ceiling, the new consumer surplus is T + V, while the new producer surplus is X.
In other words, the price ceiling shifts the surplus area (V) from producers to consumers. The total surplus in a market is a measure of the overall well-being of all market participants. It is the sum of the consumer and production surpluses.
Consumer surplus is the gap between what consumers are prepared to pay for a good and what they actually pay for it. Surplus is the quantity of an item or resource that exceeds the amount used.
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(The Birth of New Ideas: Renaissance Humanities and Fine Arts HC) Use the excerpt to answer the following question: "Some rise by sin, and some by virtue fall."—Measure for Measure, William Shakespeare How does the excerpt show humanism's influence on Shakespeare? (4 points) a It explores human failures. b It focuses on emotions. c It gives political advice. d It supports religious beliefs.
After considering all the given options carefully and interpreting them we conclude that the excerpt show humanism's influence on Shakespeare portrays and explores human failures, which is Option A.
The excerpt "Some rise by sin, and some by virtue fall" from Measure for Measure given by William Shakespeare elaborates the humanism's influence on Shakespeare by exploring human failures.
Here the given quote suggests that people can rise or fall based on their actions and not their social status or birth.
Therefore the provided idea is central to humanism, which projects the importance of individualism and the potential for human beings to achieve greatness through their own efforts.
The quote also portrays that people are responsible for their own actions and that they must take responsibility for their own successes and failures. By this we can finally say that , option A is clearly projects the meaning here.
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Answer:
a
Explanation:
What is the opportunity cost of an investment?
A.
The combined values of the other opportunities available
B.
The value of the next most valuable opportunity
C.
The marginal benefit of the investment
D.
The volatility of the investment
Answer:
B. The value of the next most valuable opportunity
Explanation:
When it comes to choosing among investments, you always have to let go of other choices when you've decided to choose one already. Every option has its own benefits. However, there is an option which is always considered to have the next most valuable opportunity. This one is what you call your opportunity cost. This means, you have foregone the benefits of this option by choosing your current option.
The benefits that you could have enjoyed in choosing this option was sacrificed because you have chosen the current one.
The value of the next most valuable opportunity s the opportunity cost of an investment. Thus, option B is appropriate.
The value of the most beneficial option foregone when, due to limited resources, a decision must be made between numerous mutually exclusive alternatives is known as the opportunity cost in microeconomic theory. The value associated with the next-highest alternative use of a resource is referred to as its "opportunity cost" by economists. You cannot, for instance, read a book at home during the time you would have spent seeing a movie and spend the money you would have spent on something else.
"Opportunity cost is the value of the next-best option whenever a decision is made," senior economic education specialist Andrea Caceres-Santamaria writes in a recent edition of Page One Economics: Money and Missed Opportunities; it's what is given up."
Thus, option B is correct.
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Click this link to view O*NET’s Work Context section for Financial Analysts. Note that common contexts are listed toward the top, and less common contexts are listed toward the bottom. According to O*NET, what are some common work contexts for Financial Analysts? Check all that apply.
a. indoors, environmentally controlled
b. face-to-face discussions
c. electronic mail
d. extremely bright lighting
e. cramped work space
f. spend time bending or twisting the body
The work context for financial analysts includes indoors, environmentally controlled, face-to-face discussions, and electronic mail.
Financial analysts are involved in the duties to provide businesses with guidance regarding their fund management, the performance of financial instruments, and financial market assessment.
According to O*NET, financial analyst performs their activities in indoor premises that have a controlling work environment in terms of work ethics and culture.
Another task of financial analysts is to have face-to-face discussions while meetings or presentations with investors and clients of the business regarding business financial goals and profitability.
Electronic mail is also used by analysts to coordinate with other departments and gather financial information.
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Answer:A,B,F
Explanation:Trust
are good places to look to find your current expenses when building your budget.
A) Online research websites
B )Banks and credit unions
C)Bank and credit statements
D)Grocery stores and concerts
Answer:
C)Bank and credit statements
Explanation:
The good places to look to find your current expenses when building your budget is "Bank and Credit Statements"
This is because the credit statement is a document showing a list of transactions or money spent on goods or expenses made. This credit statement can be gotten from a bank of the person whose credit statement is under analysis or credit union.
Hence, in this case, the correct answer is Bank and credit statement.
maribel just took a job with a recycling company. her job is to search for potential customers that need to get rid of their recyclable materials or those customers who wish to buy recycled materials for processing. maribel's job fits into the first step of the personal-selling process, that of
Maribel's job fits into the first step of the personal selling process, which is that of: C. prospecting.
What is personal selling?Personal selling can be defined as a type of sales technique which typically involves selling a good (product) directly to a buyer, especially by establishing a face-to-face system of communication with the person.
This ultimately implies that, personal selling requires that a sales representative (sales rep) would physically meet up with the buyers in order to facilitate the completion of a business transaction.
In conclusion, a sales representative (sales rep) whose job is to search for potential customers that wishes to get rid of their products is referred to as prospecting.
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Complete Question:
Maribel just took a job with a recycling company. Her job is to search for potential customers that need to get rid of their recyclable materials or those customers who wish to buy recycled materials for processing. Maribel's job fits into the first step of the personal selling process, that of Multiple Choice
preapproach.
advertising.
prospecting.
sales promotion.
gaining commitment.
Why does electronic commerce benefit small firms? Without e-commerce, small firms often lack the resources to expand beyond local markets. The government has committed significant resources to encourage small firms to go online. Small firms are often "tech savvy", which allows them to embrace innovations more quickly. Large firms have complex business plans that fail to direct investment toward the Internet.
Answer:
Without e-commerce, small firms often lack the resources to expand beyond local markets.
Explanation:
In Business, e-commerce can be defined as a business model which involves the buying and selling of goods or products over the internet.
Generally, e-commerce comprises of four (4) business models and these are;
1. Business to Business (B2B).
2. Business to Consumer (B2C).
3. Business to Government (B2G).
4. Consumer to Consumer (C2C).
Without e-commerce, small firms who predominantly lack the resources to expand beyond local markets unlike larger business firm wouldn't be able to grow and develop into penetrating global markets.
Influencers are most helpful to Dell because they Multiple Choice O provide engagement with audiences that Deli cares about as a brand. O work directly as employees of Dell. O typically focus on the 4 Ps. O are not concerned with return on investment O generate fewer social media shares a messages that come directly from Dell Required information Content Marketing Helps Dell Develop Trust Dell is a B2B computer technology company that develops. Sells, repairs, and supports computers and related producte and services Named after its founder, Michael Dell , the company is one of the largest technological corporations on the planet, employing more than 145.000 people in the United States and around the world Content is the currency of the social web. The success of any website, search marketing, or social media marketing campaign depends on the creation and management of useful and interesting digital content content marketing is a marketing approach focused on creating and distributing valuable relevant and consistent content to attract and retain clearly defined and profitable audience. The goal of this activity is to help students better understand how content marketing helps Dell develop trust with customers and shape the Dell narrative in the marketplace
Influencers are most helpful to Dell because provide engagement with audiences that Dell cares about a brand.
How do brands benefit from influencers?Influencer marketing programs are an excellent approach to increasing brand awareness, increasing website traffic, and broadening your social media audience. For marketers who can find the right balance between persona, content, and engagement, influencers can be an effective tool for raising brand awareness.
Consumers will remember brands when they want to make a purchase if they partner with the appropriate influencers and establish themselves as reliable sources. There are many advantages to influencer marketing. Along with helping you raise brand awareness and increase sales, it can also help you reach niche audiences, get past ad blockers, improve SEO, and a whole lot more.
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The complete question is:
Dell is a B2B computer technology company that develops. Sells, repairs, and supports computers and related producte and services Named after its founder, Michael Dell , the company is one of the largest technological corporations on the planet, employing more than 145.000 people in the United States and around the world Content is the currency of the social web. The success of any website, search marketing, or social media marketing campaign depends on the creation and management of useful and interesting digital content content marketing is a marketing approach focused on creating and distributing valuable relevant and consistent content to attract and retain clearly defined and profitable audience. The goal of this activity is to help students better understand how content marketing helps Dell develop trust with customers and shape the Dell narrative in the marketplace.
Influencers are most helpful to Dell because:
a) provide engagement with audiences that Dell cares about a brand.
b) works directly as employee of Dell
c) typically focus on 4 Ps
d) are not concerned with return on investment
e) generate fewer social media shares than messages that come directly from Dell.
In the end, businesses that use teams tend to have ______. a. Fewer sick leaves b. More profits c. More management d. Fewer products
Answer:
The answers B More profits
Explanation:
Trust me i just made a 100 in the test
In the end, businesses that use teams tend to have more profit. Thus, option (b) is correct.
What is businesses?The term “businesses” refers to earning a profit. The business is taking the risk and earning the profit. The business is mainly focused on the activities of the creation, distribution, and selling of concepts. The businesses are interested in the investment as a future perspective.
The term “businesses” refers to the primary goal of generating a profit. The company is taking a risk and profiting from it. The enterprises' functions are focused on the creation, distribution, and sale of concepts. The business was the runs on the basis of the consumer behavior.
As a result, the significance of businesses are the aforementioned. Therefore, option (b) is correct.
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Wildhorse Company uses both special journals and a general journal as described in this chapter. On June 30, after all monthly postings had been completed, the Accounts Receivable control account in the general ledger had a debit balance of $299,300; the Accounts Payable control account had a credit balance of $81,300. The July transactions recorded in the special journals are summarized below. No entries affecting accounts receivable and accounts payable were recorded in the general journal for July. Sales journal Total sales $162,000 Purchases journal Total purchases $56,100 Cash receipts journal Accounts receivable column total $131,000 Cash payments journal Accounts payable column total $41,600 (a) To what account(s) is the column total of $162,000 in the sales journal posted?
The column total of $162,000 in the sales journal is posted to the Accounts Receivable control account in the general ledger.
This account tracks all amounts owed to the company by customers for goods or services sold on credit. Since the sales journal records all credit sales, the total is posted to this account to reflect the increase in the amount of money owed to the company by customers. This posting is done to ensure that the Accounts Receivable control account reflects all credit sales made during the month and matches the balance in the subsidiary accounts receivable ledger.
It's important to note that the balance in the Accounts Receivable control account at the end of the month is the sum of the beginning balance plus all credit sales made during the month, minus any payments received from customers. In this case, since no entries affecting accounts receivable were recorded in the general journal for July, the balance in the Accounts Receivable control account at the end of July will be the same as the June 30 balance of $299,300, plus the total of $162,000 in credit sales made during July, minus any payments received from customers during July.
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Kay has decided to take out a $23,100 loan, and she wants to pay it back in quarterly installments. She has narrowed her options down to two banks. Bank V offers a six-year loan with an interest rate of 4. 6%, compounded quarterly, and has a service charge of $822. 45. Bank W offers an eight-year loan with an interest rate of 3. 9%, compounded quarterly, and a service charge of $722. 25. Which loan will have the greater total finance charge, and how much greater will it be? Round all dollar values to the nearest cent. A. Loan W's finance charge will be $335. 96 greater than Loan V's. B. Loan W's finance charge will be $436. 16 greater than Loan V's. C. Loan V's finance charge will be $263. 10 greater than Loan W's. D. Loan V's finance charge will be $100. 20 greater than Loan W's.
Answer:… um um um um
Explanation:why am I getting these questions
has the development of the shadow banking sector, the increase in the size of the financial sector, the breaking of glass-steagall, worsened conflicts of interest and increased asymmetric information?
The development of the shadow banking sector, the increase in the size of the financial sector, and the breaking of Glass-Steagall Act have the potential to worsen conflicts of interest and increase asymmetric information in the financial system.
Shadow Banking Sector: The shadow banking sector refers to a system of non-bank financial intermediaries that perform banking-like activities, such as lending and borrowing, outside the realm of traditional banking regulations. The growth of the shadow banking sector can introduce additional complexity and opacity into the financial system. As a result, it may lead to increased conflicts of interest and asymmetric information.
Within the shadow banking sector, various entities may engage in riskier practices or take on higher levels of leverage, which can amplify systemic risks. Additionally, the interconnectedness between traditional banks and shadow banks can create potential conflicts of interest and information asymmetry. For instance, banks may have incentives to engage in transactions with shadow banks to move risky assets off their balance sheets, which can obscure the true risks they hold.
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What is the first step you should take when you want to open a savings account?
A. Make your initial deposit.
B. Present your photo ID to the bank
representative.
C. Review the different savings account options
that your bank offers.
D. Go to the bank and fill out an application.
The first step that you should take when you want to open a savings account is go to the bank and fill out an application form.
What is saving account?A saving account refers to a bank account that includes a limited number of withdrawals, lack of cheque and linked debit card facilities.
The first step you should take when you want to open a savings account is go to the bank and fill out an application.
Therefore, D is the correct option.
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What types of procedures in schools could benefit from TQM? If students are regularly late for classes, how can the school use TQM tools to help solve the problem?
discuss how
prices are formed under a perfectly competition market
Answer:
In a perfectly competitive market, equilibrium price is determined by the forces of market demand and market supply. Market demand refers to the sum total of demand for a commodity by all the buyers in the market.
A key characteristic of evolutionary change is that it is
A)widespread.
B)unexpected.
C)short-lived.
D)dramatic.
E)narrowly focused.
The key characteristic of evolutionary change is A) widespread.
Evolutionary change refers to the gradual process of biological transformation that occurs over generations. It is a widespread phenomenon that affects various aspects of life on Earth. This change encompasses the development of new species, adaptations to the environment, and modifications in genetic traits.
B) Unexpected: While evolutionary change may lead to unexpected outcomes, it is not a defining characteristic. Evolution operates based on natural selection and genetic variation, which can result in both predictable and unpredictable changes.
C) Short-lived: Evolutionary change is not short-lived; in fact, it takes place over long periods of time, often spanning thousands or millions of years. It involves cumulative changes that gradually accumulate and shape populations and ecosystems.
D) Dramatic: Although some evolutionary changes can be dramatic, such as major adaptive shifts or mass extinctions, not all changes are characterized by such dramatic events. Many evolutionary changes occur through small, incremental modifications.
E) Narrowly focused: Evolutionary change is not narrowly focused but rather affects a wide range of organisms and traits. It influences entire populations and ecosystems, leading to diversification and the emergence of new species.
In conclusion, the key characteristic of evolutionary change is its widespread nature, influencing various aspects of life and shaping the diversity of organisms on Earth over extended periods of time.
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what is the accounting rate of return for a project that is estimated to yield total income of $375,000 over three years and costs $861,000?
111000$ will be the accounting rate of return for a project that is estimated to yield a total income of $375,000 over three years and costs $861,000.
The net profit or loss of an investment over a period of time, is expressed as a percentage of the original cost of the investment.When calculating returns, we determine the percentage change from the beginning of the period to the end.Return on Investment (RoR) is used to measure the profit or loss of an investment over time.The metric can be used for a wide variety of assets, from stocks to bonds to real estate to art.The effect of inflation is not included in the simple rate of return calculation but is included in the real rate of return calculation. Internal rate of return (IRR) takes into account the time value of money.over time aims to account for the time value of money (TVM) that CAGR ignores. Discounted cash flows take the return on investment and discount each cash flow based on a discount rate. The discount rate represents the lowest rate of return acceptable to investors or the assumed rate of inflation. In addition to investors, companies use discounted cash flows to assess the profitability of their investments.learn more about accounting rate of return
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If a shareholder wanted to know how money flowed into and out of the company, which financial statement would the shareholder use?a. income statementb. statement of cash flowsc. balance sheetd. statement of retained earnings
The statement of cash flows is the financial statement that the shareholder would use. The cash flow statement summarises a company's overall liquidity by displaying cash transaction activity.
It summarises total cash available and reports all cash inflows and outflows over an accounting period. The statement of cash flows, like the income statement, depicts a company's financial statement activity over time. It demonstrates where a company's money comes from and how it is invested for the future or used to pay for current expenses. The income statement is typically the most accurate financial statement. Although using a cash basis accounting system can make an income statement less clear, it is still necessary for lenders and investors.
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financial planning includes which of the following for a firm? i. determination of asset requirements ii. analysis of funding options iii. development of plans to contend with unexpected events iv. establishment of priorities
Financial planning includes determination of asset requirements, analysis of funding options, development of plans to contend with unexpected events, and establishment of priorities for a firm. This statement is true.
Financial planning refers to the process of determining how a business will afford to achieve its strategic goals and objectives. A financial plan outlines the resources a firm requires to achieve its goals, and it outlines the priorities it must establish to achieve success. Financial planning is often conducted by businesses to ensure they achieve their goals and objectives while also ensuring that they remain financially stable.
There are several components of financial planning, which are as follows:
Determination of asset requirements
Analysis of funding options
Development of plans to contend with unexpected events
Establishment of priorities
Determination of asset requirements refers to the process of determining the resources a business requires to achieve its goals. The analysis of funding options entails identifying the sources of funds a company may employ to achieve its strategic objectives. Development of plans to contend with unexpected events refers to the process of developing contingency plans to mitigate financial risks. Establishment of priorities refers to the process of setting goals and objectives in order of importance to ensure a company allocates resources properly.
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American Airlines paid the television producer to be a part of the show. This is known as ...
A) brand endorsement
B) product awareness
C) product placement
D) brand awareness
Answer:
A) brand endorsement
Explanation:
"Endorsements are a form of advertising that uses famous personalities or celebrities who command a high degree of recognition, trust, respect or awareness amongst the people. Such people advertise for a product lending their names or images to promote a product or service."
Hope this helps! :)
seeking to end luke lea's hold on state government, what group composed of lea's enemies held public meetings throughout the state to expose his malfeasance and demand justice?
Answer: Public Emergency Comittees
Explanation:
consider a binomial world in which the current stock price of 80 can either go up by 10 percent or down by 8 percent. the risk-free rate is 4 percent. assume a one-period world, with an exercise price of 80. what is the theoretical value of the call?
Therefore, the theoretical value of the call option in this binomial world is approximately 7.6923.
To calculate the theoretical value of the call option in a binomial world, we can use the risk-neutral pricing approach.
In this case, the stock price can either go up by 10% or down by 8%, and the risk-free rate is 4%. We also have a one-period world, meaning there is one time step until the option expiration.
Let's denote the up movement factor as u and the down movement factor as d:
u = 1 + 10% = 1.1
d = 1 - 8% = 0.92
The risk-neutral probability of an up movement, denoted as p, can be calculated as follows:
p = (1 + Risk-Free Rate - Down Movement Factor) / (Up Movement Factor - Down Movement Factor)
p = (1 + 4% - 0.92) / (1.1 - 0.92)
p = 0.12 / 0.18
p ≈ 0.6667
The risk-neutral probability of a down movement, denoted as q, can be calculated as:
q = 1 - p
q = 1 - 0.6667
q ≈ 0.3333
Next, we calculate the expected stock price at the end of the period, denoted as S:
S = Stock Price * (Up Movement Factor) ^ (Number of Up Movements) * (Down Movement Factor) ^ (Number of Down Movements)
S = 80 * (1.1) ^ 1 * (0.92) ^ 0
S = 80 * 1.1
S = 88
The call option value at the end of the period is the maximum of (S - Exercise Price, 0):
Call Value = Max(S - Exercise Price, 0)
Call Value = Max(88 - 80, 0)
Call Value = Max(8, 0)
Call Value = 8
To calculate the theoretical value of the call option, we discount the expected call value at the risk-free rate:
Theoretical Call Value = Call Value / (1 + Risk-Free Rate)
Theoretical Call Value = 8 / (1 + 4%)
Theoretical Call Value = 8 / 1.04
Theoretical Call Value ≈ 7.6923
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Your job is to cold call people and sell
them life insurance. You do some
research and find out that the life
insurance policy could be purchased
cheaper online. Your boss forbids you
to tell the customer this and expects
you to sign up at least 5 new
customers per day.
What will you do?
I believe I would be cheating customers if I don't do right by them. I would prefer to look for a new job than do something that is ethically wrong and against my morals.
As an employee, I would first try to figure out a way to do right by the customers and reduce the insurance fee. I would try to explain to my boss how we could benefit and increase our customer base if we reduce the fees.
If I fail at getting the price change. I would try looking for a new job that fits well with my morals. Till the time I get a new job, I would try working the same job and explaining to the boss.
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The British government increased the national debt from $75 million to $133 million by borrowing from ________ and British bankers.
The British government borrowed from the Dutch and British bankers and this increase its national debt from $75 million to $133 million.
What is a national debt?This means the total amount of all debts owed by the government of a country.
These debt are used to service infrastructure, cater expenditure when there are insufficient revenue to cater for such.
Therefore, the British government borrowed from the Dutch and British bankers.
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Analyse how the level of government intervention varies according to the type of
economic system countries operate.
Explanation:
in acapitalist economy, the government acts as regulatory and complementary body.
compare and contrast reference theory of meaning and idea theory of meaning
Explanation:
Reference theory of meaning is a philosophical thought that believes the meaning of a word or acronym is doing in what it points out in the world. But the idea theory of meaning feels the meaning of a word or acronym lies in the group it represents.
For example, the meaning of the term would be seen as relating to illnesses and viruses as well as number of years from the point of view of idea theory of meaning. While the reference theory of meaning would allude the meaning using proper reference to the illness (Coronavirus) that caused the disease.
during the airing of a major sitcom the actors eat a popular cereal for breakfast. this type of advertising is known as:
During the airing of a major sitcom the actors eat a popular cereal for breakfast. this type of advertising is known as product placement.
Product placement is a current vending approach for manufacturers to attain their target audiences without the use of overt conventional advertising and marketing. Embedded advertising is any other time period for product placement because the product is embedded in any other form of media.
Product placement, also known as embedded advertising and marketing, is a advertising method where references to unique manufacturers or merchandise are integrated into any other work, together with a film or television software, with unique promotional intent.
Historically there have been three fundamental kinds of product placement; display placement, script placement, and plot placement.
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synergies, in the context of segmentation, are ________ that can be achieved by focusing on horizontal or vertical lines within the market-product matrix.
Synergies, in the context of segmentation, are efficiencies that can be achieved by focusing on horizontal or vertical lines within the market-product matrix.
A market is a place where buyers and sellers meet to facilitate the exchange and trade of goods and services. A marketplace can be physical, like a retail store, or virtual, like an e-merchant. Other examples include illegal markets, auction markets, and financial markets. A marketplace is a means by which the exchange of goods or services takes place through contact between buyers and sellers, either directly or through intermediaries or institutions.
The market is described as the sum of all buyers and sellers in the region or region under consideration. An area can be an Earth, Country, Region, State, or City. The value, cost, and cost of traded items are governed by market forces of supply and demand.
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Two friends want to open a clothing consignment store. Individuals bring clothing to the consignment store and if the clothes sell, the consignment shop earns 60% and the customer receives 40% of the sale. What are the advantages of this type of business over other retail stores? Explain the advantages and disadvantages of operating this business as a sole proprietorship and a partnership
Answer:Some advantages of a consignment store are that if your your item sells both you and the business benifit. A disadvantage of a consignment store is that if the item doesnt sell the business doesnt profit and neither does the person who brought in the item. At other retail stores even if your item doesnt sell you still get the money but you dont get the item back so that could be an advantage or disadvantage.
Explanation:Some advantages of being a proprietorship and owning a consignment store is that you would get to keep all of the 60% sold of all profits.
A dsadvantage of being in a partnership and owning a consignment store would be that you would you would have to spilt the 60% with who ever you are partners with.
IFRS 15 requires that capitalized contract cost assets are amortized and tested for impairment. Which of the following statements is NOT correct? Select all that apply.
After initial capitalization contract costs must be amortized with the amortization expense recognized in profit or loss on a systematic basis consistent with the pattern of the entity’s transfer of the related goods or services to the customer.
After recognizing an impairment loss on capitalized contract costs incurred to obtain or fulfill a contract with a customer, impairment losses recognized in accordance with other standards such as IAS 36 Impairment of Assets must be considered
An impairment of the contract cost asset exists if the carrying amount of the contract cost asset exceeds the remaining consideration the entity expects to receive less costs for the related goods or services that have been recognized as expenses.
Capitalized contract costs must be amortized to profit or loss on a straight-line basis unless another systematic basis reflects the expected pattern of consumption of the future economic benefits embodied in the capitalized contract cost asset.
After recognizing an impairment loss on capitalized contract costs incurred to obtain or fulfill a contract with a customer, impairment losses recognized in accordance with other standards such as IAS 36 Impairment of Assets must be considered.
The statement that is not correct regarding the IFRS 15 requirement for capitalized contract cost assets is "Capitalized contract costs must be amortized to profit or loss on a straight-line basis unless another systematic basis reflects the expected pattern of consumption of the future economic benefits embodied in the capitalized contract cost asset. "Explanation: IFRS 15 requires the amortization and testing for impairment of capitalized contract cost assets. After initial capitalization contract costs, the assets must be amortized with the amortization expense being recognized in profit or loss on a systematic basis consistent with the pattern of the entity's transfer of the related goods or services to the customer. Amortization of capitalized contract costs to profit or loss must not be done on a straight-line basis unless it reflects the expected pattern of consumption of the future economic benefits embodied in the capitalized contract cost asset. If the carrying amount of the contract cost asset exceeds the remaining consideration the entity expects to receive less costs for the related goods or services that have been recognized as expenses, then an impairment of the contract cost asset exists.
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Solo podrá vender lo que las personas están dispuestas a comprar a ese precio. De esta forma, si el precio que pone es muy alto, venderá pocas unidades mientras que si es bajo, venderá más unidades.
This question is incomplete, and I couldn't find its missing part online, but I can still assume that what you are giving is a definition and you need to find what it refers to.
Answer:
This definition refers to a monopoly.
Explanation:
A monopoly is a form of market where there is only one company that offers a product or service.
When this happens, only one company can offer this product or service since it has no close competition. This means that consumers who want said product or service can only go to this company and submit to the prices that it may impose.
The established price could be very high, but this could produce a low number of purchases by consumers. While if the price is low, consumers will be more.