This would make teff and quinoa substitute, and an increase in the price of quinoa should increase the demand for teff, ceteris paribus.
Teff and quinoa are regarded as interchangeable since they have comparable uses and may be eaten in place of one another. The demand for teff is anticipated to rise when the price of quinoa rises, ceteris paribus assumes that other things stay the same.
Customers frequently look for substitutes such as teff that offer a comparable utility but at a lower price when the price of a substitute item such as quinoa rises. Thus, as a result, when people switch their preferences to the less expensive choice, an increase in a total price of quinoa would probably result in an increase in the demand for teff.
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Complete Question:
The Consumption of quinoa has been on the rise in an economy. A grain called teff has been referred to as quinoa's twin and is often consumed in place of quinoa. This would make teff and quinoa ___________,and an increase in the price of quinoa should ____________the demand for teff, ceteris paribus.
A. complements: increase
B. complements; decrease.
C. substitutes; increase
D. substitutes; decrease
somebody help me pls
Answer:
with what do you need help with
Answer:
with what
Explanation:
what
which of the following statements is correct? a. one advantage of the npv over the mirr method is that npv takes account of cash flows over a project's full life whereas mirr does not. b. one advantage of the npv over the mirr method is that npv discounts cash flows whereas the mirr is based on undiscounted cash flows. c. one advantage of the npv over the irr is that npv takes account of cash flows over a project's full life whereas irr does not. d. since cash flows under the irr and mirr are both discounted at the same rate (the cost of capital), these two methods always rank mutually exclusive projects in the same order. e. one advantage of the npv over the irr is that npv assumes that cash flows will be reinvested at the cost of capital, whereas irr assumes that cash flows are reinvested at the irr. the npv assumption is generally more appropriate.
One advantage of NPV over MIRR is that it considers cash flows throughout the course of a project's whole life, whereas MIRR does not.
One benefit of NPV over IRR is that NPV considers cash flows throughout the course of a project's whole life, whereas IRR does not. The fact that the NPV assumes cash flows will be reinvested at the WACC rather than the IRR, which assumes that cash flows are reinvested at the IRR, is one advantage of NPV over IRR.
In general, the NPV assumption is more appropriate. These two approaches always rank projects that are mutually incompatible in the same order since the cash flows under the IRR and MIRR are both discounted at the same rate (the WACC). The fact that the NPV technique discounts cash flows while the MIRR method is based on undiscounted cash flows is one benefit over the MIRR method.
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If consumers believe the price of health insurance will decrease in the future, this will cause the demand for health insurance to increase now.
When consumers have expectations of a decrease in the price of health insurance in the future, it can cause the demand for health insurance to increase in the present.
The relationship between price expectations and demand is an important concept in economics. When consumers anticipate that the price of a product or service will decrease in the future, they tend to increase their demand for it in the present. This is known as the substitution effect.
In the case of health insurance, if consumers believe that the price of health insurance will decrease in the future, they may be more inclined to purchase it now. This is because they expect to get the same coverage at a lower price in the future. As a result, the demand for health insurance will increase.
For example, let's say there is a prediction that the government will introduce a new policy that will lower the cost of health insurance by 20% next year. Consumers who are aware of this prediction may decide to buy health insurance now to take advantage of the current prices before they decrease. This increased demand will likely lead to higher sales and more people obtaining health insurance.
Therefore, This occurs because consumers anticipate getting the same coverage at a lower price in the future, prompting them to purchase it now.
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Suppose there are two economies, Alpha and Beta, which have the same production possibilities curves and are on the same point on each curve. If Beta then devotes more resources to investment goods than consumer goods when compared to Alpha, then in the future:A)Alpha will experience greater economic growth than Beta.B)Alpha will not be able to achieve full employment or productive efficiency.C)Beta will experience greater economic growth than Alpha.D)Beta will not be able to achieve full employment or productive efficiency
Answer: A) Alpha will experience greater economic growth than Beta.
Explanation:
The production possibility curve shows how the effective and efficient use of the resources that are available in an economy can bring about the maximization of the production of two goods.
Since both economies Alpha and Beta have same production possibilities curves and are also on the same point on each curve, in a scenario whereby Beta devotes more resources to investment goods than consumer goods when compared to Alpha, then in the future Alpha will experience greater economic growth than Beta.
A good letter of complaint should explain who you are, what you want, and when or
how to contact you, along with your solution to the problem.
TRUE OR FALSE
Answer:
True
Explanation:
Jeremy entered into a divorce agreement in 2022 under which he agreed to make annual payments of $100,000. how much of the payments made to his ex-spouse may he deduct?
Due to the fact that the divorce agreement was signed after December 31, 2018, Jeremy is not entitled to deduct the payments (or alimony) he made to his ex-spouse. Thus, the correct answer is A.
According to the text, Jeremy signed a divorce agreement in 2022, agreeing to pay a $100,000 annual maintenance payment to his ex-spouse. If the divorce agreement was signed before December 31, 2018, Jeremy and others may generally deduct the payments they give to a former spouse. However, alimony in separation or divorce agreements that were signed after December 31, 2018, cannot be deducted due to changes to the deduction for specific alimony payments that entered into effect in 2019.
The question should be provided with answer choices, which are:
A. $0B. $25,000C. $50,000D. $100,000The correct answer is A.
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va company has interest expense of $62,000, income taxes expense of $157,880, and net income of $291,000. the company's times interest earned ratio equals:
The interest-earnings ratio will be 8.24 times.
Income prior to actually taxes as well as interest would be divided with interest expenses to calculate the interest earned ratio.
It demonstrates the company's capacity to cover interest costs out of current operating income.
Interest earned ratio = income before interest and taxes / interest expense
= ($291,000+ $62,000 + $157,880) / $62,000
=$510,880/$62000
= 8.24 times
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Assuming sales remain unchanged, if COGs increases then Gross Profit
Assuming sales remain unchanged, if COGs (Cost of Goods Sold) increases, then the Gross Profit will decrease. Gross profit is the difference between the revenue earned from sales and the cost of goods sold.
When COGs increase, it means that the cost of producing each unit of the product has increased. This will lower the Gross Profit margin since the revenue earned from sales will now have to cover the increased cost of production. Therefore, the Gross Profit margin will decrease by the same percentage as the increase in COGs.
A decrease in Gross Profit margin can have serious implications for a business. It will lower the net profit margin, which is the overall profitability of the business. The business may also have to increase the selling price of its products to maintain its profit margin, which can result in a decrease in sales volume.
Additionally, an increase in COGs may result in reduced profit margins and cash flow, which can lead to financial difficulties and a decrease in the company's overall financial health.
In conclusion, assuming sales remain unchanged, if COGs increase, then the Gross Profit margin will decrease, which can have significant implications for the overall financial health of a business.
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What type of price elasticity of demand results from a relatively small percentage change in quantity demanded divided by a relatively larger percentage change in price?.
The price elasticity of demand results from a relatively small percentage change in quantity demanded divided by a relatively larger percentage change in price is inelastic.
The price elasticity of demand calculates how much an item's consumption changes as prices change.
Economists use price elasticity to examine how demand and supply for a product change concerning its price change. Supply, like demand, has price elasticity.
The price elasticity of supply is the relationship between price and supply change. It is calculated by subtracting the price change percentage from the quantity delivered change percentage. The two elasticities interact to determine which products are produced and at what cost.
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Disadvantages of choosing a job that is extremely popular or in demand
The disadvantage of choosing a job that is very popular or a job that is in high demand is that after a while such a job may become saturated or it would become monotonous.
What is a high demand job?This is the term that is used to refer to a job that the people that wpould employ labor are constantly in need of. Such a job is one that would require the people that have the qualification to opt in and get the places and the roles that they are to fill.
The issues that may arise from such a job that is in high demand is that after a period, such a job may have a lot of persons that would want to fulfil the role.
The number of qualified persons may become more than the job that is available for the people to do in the long run.
Hence this is a disadvantage. Therefore I would conclude by saying that the disadvantage of choosing a highly popular job is that the number of persons that are willing to fulfil the role may exceed the job overtime.
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Who do you think has the most
influence?
Answer:
because the influence is an important
Question 1 of 20
What are the three main steps of creating an education and career plan?
A. Conduct a self-assessment, set goals, and then set objectives.
B. Identify your talents, identify your objectives, and then identify your
goals.
C. Set your benchmarks, identify your skills, and then set goals.
D. Conduct a self-assessment, identify your preferences, and then
apply for a job.
The three main steps of creating an education and career plan include B. Identify your talents, identify your objectives, and then identify your goals.
What is a career?It should be noted that a career simply means a profession that an individual engages in.
In this case, the main steps of creating an education and career plan include to identify your talents, identify your objectives, and then identify your goals.
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Answer:
Conduct a self-assessment, identify your preferences, and then
apply for a job.
Explanation:
The validation guy in incorrect, I hate these guys.
Hasty and Tasty Foodservice received a 120-day, 6% note for $60,000, dated April 9, from a customer on account. Assume 360 days in a year. a. Determine the due date of the note.. August 7 b. Determine the maturity value of the note. c. Journalize the entry to record the receipt of the payment of the note at maturity. If an amount box does not require an entry, leave it blank. Cash Notes Receivable Interest Revenue
The due date of the note is August 7; the maturity value of the note is $60,900. The entry to record the receipt of the payment of the note at maturity is to debit Cash for $60,900, credit Notes Receivable for $60,000, and credit Interest Revenue for $900.
The journal entry is: DebitCash60,900 CreditNotes Receivable60,000 CreditInterest Revenue900
Explanation:
Part A:
To determine the due date of the note, we use the formula:
D = N + T
Where, D = Due Date,
N = Date of note and
T = Terms of the note
In this question, the date of the note is April 9.
Terms are for 120 days.
Due date of the note = 9 April + 120 days
= 7 August
Part B:
The maturity value of the note is the sum of the note amount and the interest earned.
The formula to calculate the maturity value of the note is:
M = N + (N x I x T) / 360
Where, M = Maturity value of the note
N = Note amount
I = Annual rate of interest
T = Term of the note in days
360 = Number of days in a year
Given that the note amount is $60,000, the annual rate of interest is 6%, and the term of the note is 120 days.
Maturity value of the note = 60,000 + (60,000 x 6 x 120) / 360
= $60,900
Part C:
When the note matures, Hasty and Tasty Foodservice receives the cash from the customer, which means cash account gets debited. The note that is receivable becomes due and thus the note receivable account gets credited. Since there is some interest earned on the note, the interest revenue account is also credited.
The journal entry to record the receipt of the payment of the note at maturity is:
DebitCash60,900 CreditNotes Receivable60,000 CreditInterest Revenue900
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Minakshi and kanchal are two real sisters.Minachi is an author and kanchan a business woman.Kanchan
has developed a new technique which is very useful for their business. Both the sisters are experts in
their respective fields. Minakshi learnt from someone that some people were coping her written work
(literary creation). Kanchan also learnt from some that the other businessmen were taking advantage of
their creations. One of their lawyer friends advised them that both of them were the owners of a special
property and the government had provided them with a legal security they could get rid of their worry
by taking advantage of this facility.
Answer the following questions related to the above paragraph:
1.Which particular property is possessed by both the sisters?
2.To which class belongs Minakshi’s property?
3.To which class belong Kanchans property?
These are the answers for the questions related to the text about Minakshi and Kanchan:
The particular property possessed by both sisters is Intellectual property.Minakshi's property belongs to the literary and artistic work class.Kanchan's property belongs to the industrial class property.Intellectual propertyThis text about the sisters Minakshi and Kanchal refers to the particular property called Intellectual property, which is a property that includes the creations of the human intellect, everything that was created by the person's mind.
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the ability to influence employees to voluntarily pursue organizational goals is referred to as ______.
Answer:
leadership
Explanation:
The ability to influence employees to voluntarily pursue organizational goals is referred to as leadership.
when segmenting a broad product-market, it is especially important that marketers create segments
When segmenting a broad product-market, it is especially important that marketers create segments that are operational.
The ability of the company to use a market segment to discover customers and modify the marketing mix is the key criterion for a successful market segment. Market segmentation, or breaking your audience up into groups based on traits in common, aids firms in developing more effective marketing plans. Targeted advertising campaigns, increased brand loyalty, improved product development, and the ability to increase profit margins are all advantages of market segmentation. Go to the root of your clients' purchasing motivations by segmenting your market to better satisfy their individual demands. This will help you get the most out of your marketing budget.
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Economic interactions involving which of the following would most likely be studied in macroeconomics?
International Monetary Fund policy.
Economic interactions involving International Monetary Fund policy would most likely be studied in macroeconomics. Thus, option (c) is correct.
What is economic?The term economic refers to the process of production, distribution, and consumption activities. The main components of economies are products and services. The primary sector of the economy is the industrial sector. The family (consumption) and company (product sales) are both parts of the economy.
According to the economic are the division of the two category such as macroeconomics and the microeconomics. Macroeconomics are the based on the aggregates such as unemployment, growth rate, inflation, population, and the GDP. Macroeconomics are they also involved the International Monetary Fund.
As a result, the significant of the economic are the aforementioned. Therefore, option (c) is correct.
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Your question is incomplete, but most probably the full question was.
A family’s finances.Trade at a duty-free shop on the U.S.-Canadian border. International Monetary Fund policy.a small company’s supply contract for a local town.a market demand schedule for a product would indicate that
The correct option is 'a market demand schedule for a product would indicate that' C. There is a negative relationship between price and quantity demanded.
A market demand schedule outlines the relationship between the price of a product and the corresponding quantity demanded by consumers. Option C correctly states that there is a negative relationship between price and quantity demanded. As the price of a product increases, consumers tend to demand less of it, and conversely, as the price decreases, consumers are inclined to purchase more. This inverse relationship is rooted in the basic principle of consumer behavior: when prices are higher, consumers may find the product less affordable or less attractive, leading to a decrease in demand. This relationship is essential for businesses to understand as they determine pricing strategies and forecast consumer demand for their products.
The complete question is
A market demand schedule for a product indicates that:
A. As the product's price falls consumers buy less of the good.
B. There is a positive relationship between price and quantity demanded.
C. There is a negative relationship between price and quantity demanded.
D. As a product's price rises, consumers buy more of the good.
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Nursing Care Incorporated, or NCl, operates both a small nursing home and a retirement home. There is a single kitchen used to provide meals to both the nursing home and retirement home, meaning labor costs and utilities costs of the kitchen are shared by the two homes. There is also a centralized cleaning department that provides the cleaning services for both homes as well as the kitchen. The nursing home serves only indigent patients who are on Medicaid. The state Department of Health and Family Services (DHFS) reimburses NCl at Medicaid-approved cost reimbursement rates. The Medicaid reimbursement rates are based on cost information supplied by NCl. The relevant cost and allocation data for the most recent year appear in the following table. Animal operating cost
Cleaning departemen $96,000
Central kitchen $129,000
Allocating base kitchen nursing home retirment home
Sequare feat of space 1,000 2,000 3,000
Number of residents - 6 4
Required: 1. Management of NCl currently allocates the kitchen and cleaning department costs based on the number of residents in each home. Determine the amount of service department costs assigned to each of the homes using this allocation base. 2. DHFS auditors believe the step method of allocation should be used by first assigning cleaning costs based on square feet and then kitchen costs based on number of residents. Determine the amount of service department costs assigned to each of the homes using this allocation method. (Do not round percentages in your calculations.)
Using the number of residents as the allocation base, the nursing home is assigned $64,000 of service department costs, and the retirement home is assigned $32,000 of service department costs
How are the service department costs allocated using the number of residents as the allocation base?The service department costs are allocated based on the number of residents in each home. According to the allocation, $96,000 (the cleaning department cost) is divided proportionally between the nursing home and retirement home based on their respective number of residents. As a result, the nursing home is assigned $64,000 of service department costs, and the retirement home is assigned $32,000 of service department costs.
The step method involves allocating the cleaning department costs based on square footage and then allocating the kitchen costs based on the number of residents. Firstly, the cleaning department costs of $96,000 are allocated between the nursing home and retirement home based on the square footage of each area. With 1,000 square feet allocated to the nursing home and 2,000 square feet allocated to the retirement home, $32,000 is assigned to the nursing home and $64,000 is assigned to the retirement home.
Next, the kitchen costs of $129,000 are allocated based on the number of residents in each home. The nursing home with six residents receives 40% (6/15) of the kitchen costs, amounting to $51,600. The retirement home with four residents receives 60% (4/15) of the kitchen costs, totaling $77,400.
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The product life cycle stage in which there is a rapid sales increase other firms?
The rapid sales increase experienced by other firms typically occurs during the growth stage of the product life cycle.
The product life cycle consists of several stages: introduction, growth, maturity, and decline. Each stage represents a different phase of a product's market performance.
During the growth stage, a product experiences a rapid increase in sales as it gains acceptance in the market. This growth is not limited to a single firm; it is observed across the industry as other firms also benefit from the rising demand.
During the growth stage, consumer awareness and interest in the product increase, leading to higher sales volumes. This stage is characterized by expanding market share, a growing customer base, and increased competition as other firms recognize the product's potential.
The rising demand attracts new market entrants, resulting in a broader range of product options for consumers. This intensifies the competition among firms, each striving to capture a significant share of the growing market.
The rapid sales increase during the growth stage is often fueled by effective marketing strategies, positive word-of-mouth, and improvements in product quality and features.
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Anyone who has the power to sway or persuade others, especially via their opinions and posts on a specific topic, market or industry, is known as a/an:
А
sharer
B
participant
С
contributor
D
influencer
When planning to incorporate, a start-up business must file for incorporation in the state in which it originally plans to do business. T or FNuisance suits allow an individual to sue a polluter to protect the community from environmental damage. T or FThe Endangered Species Act (ESA) is administered by both the Department of Commerce and the Department of the Interior. T or FThe EPA may enforce its rules and regulations through criminal prosecutions. T or F
The given statement "When planning to incorporate, a start-up business must file for incorporation in the state in which it originally plans to do business" is TRUE because each state has its own laws and regulations governing corporations, and filing in the intended state ensures compliance with those rules and taxation policies.
The given statement " Nuisance suits allow an individual to sue a polluter to protect the community from environmental damage" is TRUE because Nuisance suits are a legal tool used to protect individuals and communities from the harmful effects of pollution.
The given statement "The Endangered Species Act (ESA) is administered by both the Department of Commerce and the Department of the Interior" is TRUE because The Department of Commerce, specifically NOAA, and the Department of the Interior, specifically the U.S. Fish and Wildlife Service, both have roles in implementing and enforcing the ESA to protect endangered species
The given statement "The EPA has the authority to enforce environmental laws through both civil and criminal penalties, including fines and imprisonment" is TRUE because EPA has the authority to pursue criminal charges against individuals or businesses that violate environmental laws and regulations.
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What is straight line depreciation example?
Straight line depreciation is a method used to allocate the cost of an asset evenly over its useful life. It is a simple and widely used method that helps companies accurately reflect the true cost of using their assets over time.
Straight line depreciation is a commonly used accounting method for calculating the depreciation of assets. When a company buys an asset, it is expected to provide economic benefits to the company for a certain period of time, which is referred to as its useful life. Straight line depreciation is a way to allocate the cost of the asset over its useful life.
An example of straight-line depreciation would be a company purchasing a piece of equipment for $10,000 that is expected to last for 10 years. Using straight-line depreciation, the company would depreciate the equipment by $1,000 per year for 10 years, reducing the value of the equipment to zero at the end of its useful life.
Determine the cost of the asset: This includes the purchase price, as well as any additional costs such as shipping, installation, and taxes.Estimate the salvage value: The salvage value is the expected value of the asset at the end of its useful life, and is subtracted from the cost to determine the depreciable value.Determine the useful life of the asset: This is the number of years the asset is expected to be used before it becomes obsolete or needs to be replaced.Calculate the annual depreciation: The depreciable value is divided by the useful life of the asset to determine the amount of depreciation that will be recognized each year. In the example given, the depreciable value of the equipment is $10,000 - $0 = $10,000, and the useful life is 10 years, so the annual depreciation is $1,000.Record the depreciation: The annual depreciation is recorded as an expense on the company's income statement, reducing the net income for the year. It is also recorded as a reduction in the value of the asset on the company's balance sheet.Repeat the process.To know more about Straight line depreciation click here:
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what is 10+10 im having troubles help
Answer:
20
Explanation:
Simple
10 + 10 = 20
Answer:
20 lolbajahajwbwiqbqn
turell grant is a claims adjustor his biweekly salary is 1,075. what is his annual and monthly salary?
Answer:
$27,950 and $2,329. 17
Explanation:
Bi-weekly means every two weeks. A biweekly salary is paid once every two weeks.
One year has 52 weeks; a Biweekly salary will be paid (52/2) times in a year.
Yearly salary will be $1075 x 26
=$27,950
The monthly salary will be yearly salary divide by 12
=$27,950/12
=$2,329. 17
Porter+inc's+stock+has+an+expected+return+of+12. 25%,+a+beta+of+1. 25,+and+is+in+equilibrium. +if+the+risk-free+rate+is+5. 00%,+what+is+the+market+risk+premium?.
Answer: h,m can you form the formula
Explanation:
find the future value of an annuity due of $9,000 paid at the beginning of each 6-month period for 9 years if the interest rate is 6%, compounded semiannually.
When interest on savings is calculated using both the initial principle and interest that has accumulated over time, it is referred to as compound interest. The starting principle amount is multiplied by both of these variables, and the annual interest rate is increased to the number of compound periods minus one. The resulting value is subsequently deducted from the loan's full initial principal amount.
What is compound interest:
Compound interest is interest that has been accrued over multiple periods; it increases at an ever-increasing rate. Although the total interest for the three years of the loan in the example above is $1,576.25, the amount of interest is not the same for each of the three years, as it would be with simple interest.
Interest may increase in value on a daily, weekly, monthly, annual, or other schedule. Conventional plans for compounding frequency are often used in investment products.
Compound interest is calculated by adding the initial principal and any interest already paid from prior periods. Compound interest has the ability to create "interest on interest." Compounding interest's frequency plan can be adjusted to be continuous, daily, or yearly. Compounding increases the rate of money growth.
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What are 20 things to do at home when I have nothing to do and have done all my online school?
Exchange-traded funds are popular investments that are easy to sell and have the potential to earn significant income for investors.
However, they fluctuate wildly in price, increasing the likelihood that an investment fails. This investment features (1 point)
An Exchange-traded funds is a hub for transaction such as purchase of securities, shares which are sold on an exchange.
The Exchange-traded funds offers similar benefits like that of stocks, mutual funds, bonds etc but its prices are greatly determined by the supply and demand.
Examples of some Exchange-traded funds includes:
Bond exchange-traded funds which provide exposure to different types of bonds.Currency exchange-traded funds allow one's to participate in currency market transactions without purchasing a physical currencyGold exchange-traded funds allow one's to participate in gold transaction without purchasing a physical gold etc.The main features of the Exchange-traded funds is the funds price ability to fluctuate easily because of people's demand and supply on the platform.
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Answer:
high risk, high return, and good liquidity.
the market/book (m/b) ratio tells us how much investors are willing to pay for a dollar of accounting book value. in general, investors regard companies with higher m/b ratios as less risky and/or more likely to enjoy higher growth in the future. a. true b. false
True, the market/book ratio (m/w) tells us how much investors are willing to pay for one dollar of accounting book value.
Market value ratio is a ratio that takes into account the stock price with profit or turnover, book value per share, to the company's cash flow. Market ratio analysis is also often used to measure stock market conditions for a certain period of time. With the value of this market ratio, later you can find out the mindset of investors on the company's performance.
So, basically the stock price has a big impact on the company's investment needs. However, you shouldn't just focus on this ratio. Because, in the market value ratio there are activity ratios, solvency ratios, and also other financial ratios that you can use as indicators of company performance.
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