which of the following does au-c 915, reports on application of requirements of an applicable financial reporting framework, apply to?

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Answer 1

AU-C 915, Reports on Application of Requirements of an Applicable Financial Reporting Framework, applies to auditors who are assessing the application of financial reporting standards in a financial statement audit.

What is audit?

Audit is an independent examination of financial information of any entity, whether profit oriented or not, irrespective of its size or legal form. It is an objective and systematic assessment of the financial statements of an organization, which includes a detailed review of the organization's accounting and internal control systems. An audit is conducted to ensure that the financial statements are free from material misstatements and provide a true and fair view of the financial position and results of operations of the organization. Auditing is a vital component of the financial system and provides investors with an assurance that the financial statements of the organization are accurate and reliable.

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Related Questions

which of these hud programs allows mortgage lenders to obtain a better price for their mortgage loans in the secondary mortgage market?

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These HUD programs allows mortgage lenders to obtain a better price for their mortgage loans in the secondary mortgage market by mortgage insurance for house loans is provided by the FHA (Community Development Block Grant).

What is a mortgage?

A mortgage is a contract between you and a lender that grants the lender the right to seize your property in the event that you are unable to repay the loan amount plus interest.

The value of an existing property may be used as collateral for a mortgage loan to help you purchase a new home.

Seven criteria to check for when getting a mortgage

The loan's size is one.The interest rate and any points attached to it.The expenses paid to the lender as part of the loan's closing costsThe Annual Percentage Rate (4.0%) (APR)The interest rate type and its flexibility (is it set or adjustable?)The loan duration, or the amount of time you have to pay back the loanWhether the loan includes any additional dangerous provisions, including a pre-payment penalty, a balloon clause, an interest-only period, or negative amortisation

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which of these hud programs allows mortgage lenders to obtain a better price for their mortgage loans in the secondary mortgage market?

The opportunity cost of holding money Suppose you've just inherited
$5,000
from a relative. You're trying to decide whether to put the
$5,000
in a non-interest-bearing account so that you can use it whenever you want (that is, hold it as money) or to use it to buy a U.S. Treasury bond. The opportunity cost of holding the inheritance as money depends on the interest rate on the bond. For each of the interest rates in the following table, compute the opportunity cost of holding the
$5,000
as money. What does the previous analysis suggest about the market for money? The quantity of money demanded decreases as the interest rate rises. The supply of money is independent of the interest rate. The quantity of money demanded increases as the interest rate rises.

Answers

The opportunity cost of keeping the inheritance as cash is influenced by the bond's interest rate. in each area of interest. Let's say you recently received $10,000 from a relative.

Whether or not to deposit the $10,000 in a non-interest bearing account is something you must determine. Opportunity costs are by definition invisible, making it simple to ignore them. Recognizing potential missing chances for businesses. The Guide should be used to create your payee system and the savings or checking account that a representative payee maintains.

Treasury note The opportunity cost of keeping the inheritance as cash is influenced by the bond's interest rate. Calculate the opportunity cost of retaining the $5,000 in cash for each interest rate in the accompanying table.

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A firm is more likely to engage in horizontal foreign direct investment if

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Answer:

a form is more likely to engaging horizontal foreign direct investment if ...

number 4 thank you. nn jb

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The unpaid balance after 1 year to the couple who borrow $ 90, 000 for 25 years, with monthly payments of $579.87 is $ 88, 140.24.

The amount of interest paid by the couple in the first year is $ 5, 356.21.

How to find the unpaid balance ?

To find the unpaid balance, first convert the periods to months:

= Total months for loan - months in first year

= ( 6 x 12) - 12

= 288 months

The interest is :
= 6 % / 12

= 0.5%

The amount remaining after the first year is :

= (579.87 x ( 1 - ( 1 + 0.5%) ²⁸⁸ ) ) / 0.5%

= $ 88, 140.24

The interest to be paid for the year is therefore :

= ( 12 x 579. 87 ) - ( 90, 000 -  88, 140.24)

= $ 5, 356.21

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if two companies in the same industry use different methods to value inventory, this makes comparisons more difficult but not impossible

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Comparing two businesses in the same industry that value their inventories differently makes it more challenging but not impossible. To enable investors to more correctly compare financial accounts, the FASB mandates a separate remark in the financial statements to highlight the effects of inflation.

Comparing two businesses in the same industry that value their inventories differently makes it more challenging but not impossible. Ratio analysis is a very useful technique that investors can use to compare the financial performance of various organizations.

Some businesses employ multiple assumptions, one for a specific inventory item and a different one for the rest. the gathering of data on comparability criteria and comparable uncontrolled transactions for use in a comparability analysis.

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in the behavioral approach to managerial control, a company's widely shared values and beliefs guide worker's behavior and decisons. true or false?

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False, In the behavioral approach to managerial control, a company's widely shared values and beliefs guide worker's behavior and decisions.

What is the central concept of the behavioral approach?

Because human behavior is learnt, it is possible to unlearn it and adopt other behaviors in its stead. Behaviorism is primarily concerned with observable and measurable aspects of human behavior. As a result, when some habits become inappropriate, they can be unlearned. Positive reinforcement is a common example of behaviorism. If a student scores 100% on their spelling test, they get a tiny treat. Students will work hard and study for their tests in the future in order to receive the reward. Behavioral Learning Theory is a school of thinking that holds that individuals learn by connecting a stimulus with either a reward or a punishment. This learning theory is useful in understanding how to inspire humans to learn (your staff).

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which of the following ratios indicates the percentage of each sales dollar that is available to cover fixed costs and to provide a profit

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The ratios that indicates the percentage of each sales dollar that is available to cover fixed costs and to provide a profit is Margin of safety ratio. The correct answer is A.

First off, the term "Margin of Safety" refers to a ratio used in the business and accounting worlds to identify the point at which a company knows it must sell as a matter of obligation because at that time, the company can be certain that its fixed costs have been covered and every subsequent sale will result in a profit. Because of this, the ratio shows what portion of each dollar of sales can be used to pay for those expenses.

Your question is incomplete but most probably your full question was

Which of the following ratios indicates the percentage of each sales dollar that is available to cover fixed costs and to provide a profit?

A. Margin of safety ratio

B. Costs and expenses ratio

C. Profit ratio

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a large country importing desk chairs with free

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The gain that domestic producers will get , given the domestic demand , and the quota , is b . 3 . 15 million .

How to find the producer gains ?

The gain that domestic producers will gain as a result of the quota can be found by the formula :

= ( Domestic demand before quota x Value of quota ) - ( 1 /2 x difference between quota and domestic supply  x Domestic demand )

Domestic demand before quota = 3 million

Value of quota = 1.  1 million

Difference between quota and domestic supply:

= 1. 1 million - 1 million

= 0. 1 million

The gain to producers is therefore :

= ( 3 x 1 . 1 ) - ( 1 / 2 x 0. 1 x 3 )

= 3. 3 - 0 . 15

= $ 3. 15 million

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The full question is :

a large country importing desk chairs with free trade at a world price of $60. a quota of 1.6 million is implemented, which raises the domestic price with quota to $63. with the quota in place, this large country can now import desk chairs at a price of $58. domestic supply with the quota is 1.1 million and domestic demand with the quota is 2.7 million. before the quota was implemented, domestic supply was 1 million and domestic demand was 3 million. the quota on desk chairs will cause domestic producers to gain:

a. 1.83 million

b.3.15 million

c.4.25 million

d.3 million

If a government wants to improve the economy, what could do ?

Answers

Answer: investing public funding and by encouraging investment by mainstream finance providers and social investors

Choose the term that best matches the description given.
to sell the assets of a business, pay the bills and divide the remainder among stakeholders
collateral
O reorganization
O default
O liquidation

Answers

The term that refers to sell the assets of a business, pay the bills and divide the remainder among stakeholders liquidation. The option D is correct.

What is liquidation of company?

In order to raise money, a corporation will typically liquidate its inventory by selling it off at a steep price. A liquidation sale typically precedes a business closing. The company is shut down once all the assets have been sold.

Due to order of court of voluntarily as per the prevailing corporate law, a company may went into liquidation because the fundamental accounting assumption going-concern may be questionable.

Further a company not able to generate future economic benefits from its operations then shareholder with the help of directors demand for liquidation.

Thus assets are sold , the realized amount of sale distributed to the stakeholders.

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indirect expenses are costs incurred for the joint benefit of more than one department; they cannot be readily traced to only one department.

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True. Indirect expenses are costs incurred for the joint benefit of more than one department and are not associated with producing a specific product or service.

Benefits of Sharing Indirect Expenses Across Departments

Indirect expenses are costs incurred for the joint benefit of more than one department and are not associated with producing a specific product or service. Examples of indirect expenses include utilities, office supplies, rent, and insurance. These costs cannot be easily traced to a single department and are instead shared by the entire organization.

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True orfalse : in the case of installment notes, interest expense is calculated as a constant percentage of the carrying value.

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True, in the case of installment notes, interest expense is calculated as a constant percentage of the carrying value.

What is interest expense?

An interest expenditure is the cost incurred by a company to borrow money. The income statement item of interest expenditure is a non-operating item. It denotes the interest owed on all outstanding borrowings, including bonds, loans, convertible debt, and credit lines. To put it simply, it is calculated by multiplying the interest rate by the outstanding principle balance of the debt.

The amount of interest expenditure on the income statement represents interest accumulated over the reporting period as opposed to the amount of interest paid during that time. For enterprises, interest expenses are tax deductible; however, depending on the jurisdiction and the loan's purpose, it may not be the same for individuals.

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managers are involved in traditional performance management process, while are involved in continuous performance management.

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Managers are involved in traditional performance management process, while managers, peers, and direct reports are involved in continuous performance management.

What is performance management?

Performance management (PM) is the process of ensuring that a collection of actions and outputs effectively and efficiently achieves the objectives of an organization. A department, a person, a full company, or the systems in place to handle certain tasks can all be the subject of performance management. Senior leadership at an organization and task owners typically organize and communicate performance management standards, which may include outlining the duties and results of a job, giving prompt feedback and coaching, contrasting actual performance and behavior with desired performance and behavior, implementing rewards, etc. The effectiveness of performance management depends on clearly defining each person's job within the company in terms of their duties and responsibilities.

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managers are involved in traditional performance management process, while             are involved in continuous performance management.

a single-payment cash flow is received multiple choice question. one time in the future. multiple times in the future, but only one time a year. multiple times in the future.

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A single-payment cash flow is received one time in the future. A single payment (received or made) made today or at a later date.

What is lump sum cash flow?

A term commonly used in present value calculations to distinguish between a lump sum cash payment and an annuity (or series of equal payments).

What is the present value of a one-time payment?

The present value of an individual amount is defined as the present value of a single payment or series of payments to be received at a future date, subject to certain timing adjustments based on assumptions about interest rates and inflation.

What is the future value of a single cash flow?

The future value of an individual cash flow is its value after accumulating interest over a period of time. The future value of a series of cash flows is the sum of the future values ​​of the individual cash flows.

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clear sky credit corporation asks dimension games company to agree to a security agreement that provides for coverage of the proceeds from the sale of after-acquired property. this is

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Conflicting Imperfect Security Interests: When there are unfinished security interests within the same collateral held by two or maybe more secured parties.

The definition of "company"

The Old French word "compagnie," it first appeared in the Sumptuary code and meaning "one who eats wheat with you," is where the English word "company" originates. To describe a "society, friendship, closeness, or body of troops," it was first utilized in 1150.

What does a company's kind mean?

types of businesses Any business created in accordance with the 2013 Companies Act is referred to as a "company." The term "company" is typically associated with a privately owned corporation, but it can also generically refer to a one-person firm, a limited company, or a section 8 company.

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Please help me with this i will give brainlist

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Explanation:

this is the pdf

what is your question?

Which of the following would be considered a key position within a company?
A. Customer
OB. Stockholders
OC. Sales associate
OD. Chief executive officer (CEO)

Answer: D. Cheif executive officer

Answers

Chief executive officer (CEO) would be considered a key position within a company. The appropriate response is option D.

What is the role of a Chief executive officer?

The chief executive officer (CEO) holds the highest position within an organization and is in charge of putting into action the organization's current plans and policies, enhancing its financial stability, assisting with the ongoing digital business transformation, and establishing its long-term strategy.

A CEO oversees and guides the business in achieving its main goals and objectives. oversees hiring choices made at the company's top level. oversees a group of executives in the consideration of key choices, including as large-scale expansion, joint ventures, mergers, and acquisitions.

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Characterize the following decision as either tactical or strategic:
"To operate make-to-stock or make-to-order" Also explain in 1 or 2 sentences why you choose Tactical or Strategic?
a. Tactical
b. Strategic

Answers

The best choice is B. Strategic decisions are those that have an impact for years, decades, or even beyond the project's lifespan.

What are an example of a strategic decision?

Strategic choices are based on a firm's mission, goal, and/or objectives. An instance. A cat restaurant chain manager observes that his consumers prefer fresher, higher-quality food to cat food that is sold in cheap, big amounts.

What three strategic choices are there?

Any organization employs these three layers to determine its strategy. The level at which strategies work in a firm is what distinguishes the three tiers of policy in an organization. Strategic planning process, corporate planning strategy, and functional level strategy are the three levels.

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The Drogon Co. just issued a dividend of $3.05 per share on its common stock. The company is expected to maintain a constant 6.3 percent growth rate in its dividends indefinitely If the stock sells for $61 a share, what is the company's cost of equity? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.) Cost of equity 11.62%

Answers

The Drogon Co. just issued a dividend of $3.05 per share on its common stock. If the stock sells for $61 a share. Required rate or cost of equity is 11.62 %

Expected Div after 1 year = Just Paid Div (1 + growth rate)

= $ 3.05 * (1 + 0.063) = $ 3.24

Expected Div after 1 year is $ 3.24

Required Ret = [ Expected Div after 1 year/ Price Today] + Growth Rate

= [ 3.24 / 61] + 0.063 = 0.1162

What is cost of equity?

The return needed by either a business or an individual to justify an investment in equity is known as the cost of equity. Either the CAPM or the dividend capitalization model is used to calculate the cost of equity.

How is the cost of equity determined?

Divide the annual dividends per share by the current stock price to obtain an estimate of the cost of equity, and then include the dividend growth rate. The capital asset pricing model, in contrast, takes into account the investment's beta as well as the predicted market and real rates of return.

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commercial policy insured's have similar loss exposures to personal policy insured's. all of the following are property loss exposures shared by both types of insured's, except:

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A government's commercial policy is its approach to managing foreign trade. The phrase "commercial policy" is used to refer to a broad range of subjects that have to do with global trade. Often, trade policy is described as a scale between two extremes.

What do you mean by Commercial policy?

Property, liabilities, people, and net income loss exposures are the four categories of loss exposures that organizations must manage successfully. Insurance professionals can more accurately identify and analyze these loss risks by having a solid understanding of their definitions.The terms are loss exposure, loss, and claim. Loss Exposure is the term used to describe someone or anything that could be hurt, destroyed, vanished, killed, become crippled, or fall ill as a result of an accidental action on the part of another person. Most loss risks can be covered through insurance.

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since contingent workers are already specialists in a particular task, the hiring firm does not customarily incur which of the following?

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Because contingent workers are already specialists in a particular task, the hiring firm doesn't customarily incur training costs.

Contingent workers are the ones who work for organizations without being hired as employees. Contingent workers may temporarily provide their services under a contract or on an as-needed basis. Contingent workers are often hired to complete a specific project, rather than accepting an ongoing and open-ended workload as a permanent employee does.

Independent contractors, freelancers, consultants are all examples of contingent workers.

Training is usually minimal for contingent workers since they are already experts or experienced in their own fields.

The question's multiple choices are probably these:

a) relocation expensesb) start-up costsc) training costsd) travel expenses

In that case, option c is the correct option.

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when accounts receivable decrease net sales are greater than cash receipts from customers. net sales are less than cash receipts from customers. net sales are equal to cash receipts from customers.

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When accounts receivable decrease net sales are greater than cash receipts from customers then the net sales are less than cash receipts from customers.

What are net sales?

The total of a company's net sales is its gross sales less any returns, allowances, and discounts. Externally, net sales calculations are not always obvious. They can frequently be taken into account when calculating top-line revenues that are shown on the income statement. You can take out all additional deductions, such as discounts, returns, and allowances, by subtracting the total number of sales. Your net sales, for instance, would be $96,000 if your gross sales were $100,000 and you deducted $2,000 in sales discounts, $1,000 in sales allowances, and $1,000 in sales returns. When appearing on an income statement, net sales may be referred to as "net revenue" or simply "sales."

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If an increase in the demand for reserves causes a deviation in the federal funds rate from a target rate, the Fed can maintain the target by. A.causing the supply curve of reserves to shift to the left B.causing a downward movement along the supply curve of reserves C.causing the supply curve of reserves to shift to the right D.causing an upward movement along the supply curve of reserves

Answers

The Federal Reserve can maintain the target rate by increasing the supply of reserves to meet the increased demand. To do this, the Federal Reserve would need to shift the supply curve of reserves to the right.

Maintaining the Federal Funds Rate Target with Increased Supply of Reserves

The Federal Reserve can maintain the target rate by increasing the supply of reserves to bring the actual rate back in line with the target rate. Increasing the supply of reserves will cause the supply curve of reserves to shift to the right, which will increase the quantity of reserves available and lower the federal funds rate back to the target rate.

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which of the following would be allowed during the cooling off period allocating shares to investors

Answers

The following might be allowed for the duration of the cooling off duration allocating stocks to investors: B- Taking warning signs of interest.

The required details for Shares in given paragraph

A percentage is a unit of fairness possession in the capital inventory of a corporation, and might confer with devices of mutual funds, restrained partnerships, and actual property funding trusts. Share capital refers to all the stocks of an enterprise. The proprietor of stocks in a employer is a shareholder (or stockholder) of the corporation. A percentage is an indivisible unit of capital, expressing the possession dating among the employer and the shareholder. The denominated cost of a percentage is its face cost, and the overall of the face cost of issued stocks constitute the capital of a employer, which might not replicate the marketplace cost of these stocks.

The profits obtained from the possession of stocks is a dividend. There are one-of-a-kind forms of stocks which include fairness stocks, choice stocks, deferred stocks, redeemable stocks, bonus stocks, proper stocks, and worker inventory choice plan stocks.

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Complete question

Which of the following would be allowed during the cooling off period?

A) Taking orders

B) Taking indications of interest

C) Allocating shares to investors

D) Distributing a prospectus

kyle has received a new credit card that has a $500 credit limit and charges an 18% annual rate of interest. kyle has obtained a(n) credit account. group of answer choices installment regular revolving budget

Answers

Kyle has obtained a Revolving credit account.

What is Revolving?

A form of credit account called a revolving credit account has a cap on the total amount that can be borrowed and levies interest on unpaid amounts.

The term "installment credit account" refers to a specific kind of credit account designed to handle a single total credit amount that is to be repaid in recurring installments. Regular credit accounts allow customers to make purchases at any time during a predetermined time frame, which is typically 30 days.

An open account is another name for this. A budget account is a type of short-term credit that is typically set up for durations of 60 or 90 days with payments due every 30 days.

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circle the most accurate statement. price is not used to equilibrate supply and demand in continuous markets that use the discriminatory pricing rule to arrange trades. price is not used to equilibrate supply and demand in call markets that use the uniform pricing rule to arrange trades. price is not used to equilibrate supply and demand in crossing networks that use the derivative pricing rule to arrange trades. each of the above statements (a, b, and c) is incorrect.

Answers

In continuous exchanges that set prices in accordance with the discriminatory selling rule, price is not utilized to balance supply and demand.

What Role Does Trade Play?

There are many reasons why trade is important, but some of the more frequently mentioned ones are price reduction, maintaining or gaining competitiveness, building relationships, promoting growth, lowering inflation, promoting investment, and supporting higher-paying jobs.

What Benefits and Drawbacks Does Trade Have?

Trade has various benefits, including raising living standards and promoting economic expansion. However, trading can be manipulated politically by using tariffs and embargoes to control trading partners. Language hurdles, cultural differences, and limitations on what can imported or exported are further problems.

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which of the following is increased with a credit? multiple choice net income sales revenue rent expense salaries and wages expense

Answers

With the increase of credit Service Revenue also increases.

Assets and stockholders' equity are both increased by recognising income that is earned for cash or on account. The rise in stockholders' equity (service revenue) is documented with a credit, while the increase in assets (cash or accounts receivable) is recorded with a debit.

Who is a stockholder?

Owners of an organization's existing shares, also known as shareholders or stockholders, are entitled to a piece of the company's remaining assets, earnings, and voting power.

These benefits take the shape of rising stock prices or dividend payments from financial gains. In contrast, when a corporation experiences a loss, the share price inevitably falls, which may result in financial losses for shareholders or portfolio reductions.

A majority shareholder is a single shareholder who holds and controls more than 50% of the outstanding shares of a corporation. Comparatively, minority shareholders are individuals who own less than 50% of a company's equity.

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saving for education expenses is an important financial goal for many families. taxpayers often seek tax-advantaged ways to fund education costs for their children, grandchildren, or other beneficiaries. all of the following are savings vehicles that enable investment earnings to grow tax-free when the funds are used to pay qualified education expenses except: coverdell education savings account. education savings bond program. qualified tuition program. target-date mutual fund held in a standard investment account.

Answers

Answer: Target Date mutual fund held in a standard investment account.

Explanation: Target Date Funds

A number of companies offer “target date retirement funds,” sometimes referred to as “target date funds” or “lifecycle funds.” Target date funds, which are often mutual funds, hold a mix of stocks, bonds, and other investments. Over time, the mix gradually shifts according to the fund’s investment strategy. Target date funds are designed to be long-term investments for individuals with particular retirement dates in mind. The name of the fund often refers to its target date. For example, you might see funds with names like “Portfolio 2030,” “Retirement Fund 2030,” or “Target 2030″ that are designed for individuals who intend to retire in or near the year 2030.  Most target date funds are designed so that the fund’s mix of investments will automatically change in a way that is intended to become more conservative as you approach the target date. Typically, the funds shift over time from a mix with a lot of stock investments in the beginning to a mix weighted more toward bonds. Target date funds are often available through 401(k) plans. Some 401(k) plans use these funds as the default investment for plan participants who have not selected their investments under the plan. Both before and after investing in a target date fund, consider carefully whether the fund is right for you.

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In our study of economic history we learned that price controls and market regulation were causing markets to stall. It led to a decision by government to deregulate markets. Review the selections below and choose the one which best describes market deregulation. Select the correct answer below: The removal of government controls over setting prices and quantities in certain industries. The legal, technological, or market forces that may discourage or prevent potential competitors from entering a market. A government rule that gives the inventor the exclusive legal right to make, use, or sell the invention for a limited time.The body of law including patents, trademarks, copyrights, and trade secret law that protect the right of inventors to produce and sell their inventions.

Answers

The  one which best describes market deregulation--The legal, technological, or market forces that may discourage or prevent potential competitors from entering a market.

Option B is correct.

What is market deregulation?

Deregulation is the reduction or elimination of government powers in a particular industry, usually enacted to promote competition within the industry. Over the years, the battle between proponents of regulation and proponents of government non-interference has changed the landscape of the market.

Who benefits from deregulation?

It generally lowers the barriers to entry into the industry, helping to increase innovation, entrepreneurship, competition and efficiency. This translates into lower prices and better quality for customers. Manufacturers have less control over their competitors, which may facilitate market entry.

Why is deregulation good for the economy?

Increased competition spurs increased efficiency, leading to lower costs and prices for consumers. In some markets, such as airlines and telecoms, deregulation has enabled more business and lower prices for consumers.

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What is the difference between a job analysis and a job description?
A. A job analysis is done by potential employees, while the job
description is done by the company.
OB. A job analysis is a permanent element of a position, while a job
description is always changing.
OC. A job analysis doesn't include details of the job, while the job
description is very detailed.
OD. A job analysis analyzes the job as a whole, while the job
description is prepared for potential employees.

Answer: A. A job analysis analyzes

Answers

The difference between a job analysis and a job description is A job analysis is done by potential employees, while the job description is done by the company.

Option A is correct.

A job description describes the duties, skills, and responsibilities of a position. A job description reflects the qualifications and experience required for the job. Job analysis is a thorough evaluation of what the job entails, and the details of the job are reflected in the specification.

What is Job Analysis and Job Description in HRM?

Job analysis is the process of gathering and analyzing information about job content and personnel requirements, and the context in which the job is run. This process is used to determine job placement. Under NU values, decision-making in this area is shared between the unit and HR.

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Answer: D. A job analysis analyzes the job as a whole, while the job description is prepared for potential employees

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what can you say about the drop in potential energy (per unit mass or volume) of water traveling through either pipe? the value of the noogle's stock was $94 at the start of 2015, and at its current rate the value of the stock triples every 5 years. what will the value of noogle's stock be at the start of 2023? in demand paging, the collection of pages residing in memory that can be accessed directly without incurring a page fault is called the . Which absolute value functions will be narrower than the parent function, f(x) = |x|? check all that apply. What term refers to the process by which people creatively shape their world as they interact? Stefano owns a restaurant where his customers create their own pasta dishes. The customer chooses exactly one type of noodle, sauce, vegetable, and meat. The following table shows the options available to customers.Create your own pastaNoodle options Spaghetti, Penne, LinguineSauce options Tomato, Rosa, AlfredoVegetable options Mushroom, Onion, Green pepper, TomatoMeat options Steak, Beef, Sausage, Chicken, BaconHow many different pasta dishes can customers create Is a dilation with a scale factor greater than 1 is a reduction? How do concept maps serve as an assessment strategy that helps improve student learning? countries from what region of europe have become members of nato since 1994 what is the person called on an agile team who gets to decide what goes on the sprint backlog and whether a task is done or not? There are _____ countries in the region of South America, which includes the continent of South America and also _____.A.18; the CaribbeanB.12; the Falkland IslandsC.10; MexicoD.20; Central America markets that operate under highly restrictive assumptions, such as a zero tax rate, zero transactions costs, and full information of all market participants, are known as what? Did Power Corrupt Napoleon?Can someone please reply ASAP personal selling goals typically include finding prospects, determining their needs, persuading prospects to buy, and _______. debra downloads an application on her workplace computer. as she installs the application, she notices an option to install an additional program. she unchecks the box to choose not to install the additional software. what type of malware did debra prevent from being installed on her system? Why was consumerism important in the 1920s? Where is infrared light located? 3. if the rock is projected horizontally at the same speed (2.5 m/s) from a different cliff, and it lands at a point 7.5 m from the base of the cliff, how high is the cliff? State the vector in component form for an object flying at 235 mph at a bearing of N55W. What are 4 services that the local government provides?