Answers: 3
Business, 22.06.2019 11:40, maddied2443
The following pertains to smoke, inc.’s investment in debt securities: on december 31, year 3, smoke reclassified a security acquired during the year for $70,000. it had a $50,000 fair value when it was reclassified from trading to available-for-sale. an available-for-sale security costing $75,000, written down to $30,000 in year 2 because of an other-than-temporary impairment of fair value, had a $60,000 fair value on december 31, year 3. what is the net effect of the above items on smoke’s net income for the year ended december 31, year 3?
Answers: 3
Business, 23.06.2019 01:40, sospls352
During a liquidation, a partner's capital account balance drops below zero. what should happen? select one: a. the deficit balance should be removed from the accounting records with only the remaining partners sharing in future gains and losses. b. the partner with a deficit should contribute enough assets to offset the deficit balance if he is solvent. c. the other partners should contribute enough assets to offset the amount of deficit if the partner with a deficit is insolvent. d. both b & c
Answers: 3
Business, 23.06.2019 10:00, cassiegagnier73
In two or three sentences describe how open market
Answers: 1
Business, 23.06.2019 12:30, mya1318
Match each type of insurance with an example of when the insurance company would make a payment. a.liability coverageyou cause an accident that damages someone else's car. b.disability insuranceyou go to the emergency room after a car accident. c.renter's insuranceyour stereo and computer are stolen from your apartment. d.health insuranceyou have to take a month off from work because of a broken leg.
Answers: 3
AssumingthatMeihas$100 ,alocal pub.$20 $10....
Mathematics, 14.09.2020 14:01
Biology, 14.09.2020 14:01
Mathematics, 14.09.2020 14:01
Social Studies, 14.09.2020 14:01
Biology, 14.09.2020 14:01
Mathematics, 14.09.2020 14:01
Mathematics, 14.09.2020 14:01
Mathematics, 14.09.2020 14:01
Mathematics, 14.09.2020 14:01
History, 14.09.2020 14:01