the net cash flow in the CFS from one year to the next should equal the increase or decrease of cash between the two consecutive balance sheets that apply to the period that the cash flow statement covers.
e. Check the main accounting policies of your company. Choose one interesting/doubtful accounting policy. Then, comment on the chosen accounting policy.
of three
of the most popular forms of the strategy exploits the gap between US and Japanese yields. Anyone borrowing for next to nothing in yen and putting the money into US Treasuries (US government bonds) has received a double pay-off: from an interestrate difference of more than three percentage points and from the dollar’s rise against the yen. Investors make their profit when they reverse the tra
of all equity capital. Business feasibility, creditworthiness of business practitioners and contractors, then check the overall risk within the scope of required funding is a loan by calculating the appropriate limit. Interestrates and fees will be determined after an internal review. And normally loan is renewable up to 5 years. Methods of repayment classify according to business such as balloo
Both companies are service companies
-> meaningless to use inventory related ratios
ROE 7.32% x retention ratio 100%
=7.32%
ROE 9.8% x retention ratio 80%
=7.84%
Stock price is much Lower than past
years but recovering business performance
=>probable potential to increase
Fully recovered stock price
& worsening performance
=> Very few potential to increase
of comprehensive reforms, some have received much less coverage than others. Despite the wide array of publications about doi moi, relatively few scholars inquired into the possible influence of external factors - diplomacy, military policies, and foreign trade - on the economic decisions made by Vietnam's reform-oriented leaders. Vietnam's post-1986 foreign relations did generate great interest,