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NEW QUESTION: 1
Which three statements are true about accounting rules? (Choose three.)
A. Accounting rules enable you to define the number of periods and amount of invoice that you can bill your customer in each accounting period.
B. Accounting rules enable you to define fixed and variable rules to recognize revenue.
C. Accounting rules enable you to defer revenue.
D. Accounting rules enable you to define the number of periods and percentage of total revenue that you can record in each accounting period.
Answer: B,C,D
NEW QUESTION: 2
Galena Petrovich, CFA, is an analyst in the New York office of TRS Investment Management, Inc.
Petrovich is an expert in the industrial electrical equipment sector and is analyzing Fisher Global. Fisher is a global market leader in designing, manufacturing, marketing, and servicing electrical systems and components, including fluid power systems and automotive engine air management systems.
Fisher has generated double-digit growth over the past ten years, primarily as the result of acquisitions, and has reported positive net income in each year. Fisher reports its financial results using International Financial Reporting Standards (IFRS).
Petrovich is particularly interested in a transaction that occurred seven years ago, before the change in accounting standards, in which Fisher used the pooling method to account for a large acquisition of Dartmouth Industries, an industry competitor. She would like to determine the effect of using the purchase method instead of the pooling method on the financial statements of Fisher. Fisher exchanged common stock for all of the outstanding shares of Dartmouth.
Fisher also has a 50% ownership interest in a joint venture with its major distributor, a U.S. company called Hydro Distribution. She determines that Fisher has reported its ownership interest under the proportioned consolidation method, and that the joint venture has been profitable since it was established three years ago. She decides to adjust the financial statements to show how the financial statements would be affected if Fisher had reported its ownership under the equity method. Fisher is also considering acquiring 80% to
100% of Brown and Sons Company. Petrovich must consider the effect of such an acquisition on Fisher's financial statements.
Petrovich determines from the financial statement footnotes that Fisher reported an unrealized gain in its most recent income statement related to debt securities that are designated at fair value. Competitor firms following U.S. GAAP classify similar debt securities as available-for-sale.
Finally, Petrovich finds a reference in Fisher's footnotes regarding a special purpose entity (SPE). Fisher has reported its investment in the SPE using the equity method, but Petrovich believes that the consolidation method more accurately reflects Fisher's true financial position, so she makes the appropriate adjustments to the financial statements.
Regarding the prior purchase that was accounted for under the pooling of interests method, had Fisher Global reported this purchase under the acquisition method:
A. reported goodwill could be less depending on the fair value of the identifiable assets and liabilities compared to their book values.
B. balance sheet assets and liabilities of the purchased firm would have been reported at fair value.
C. the assets and liabilities of the purchased firm would not be included on Fisher's balance sheet.
Answer: B
Explanation:
Explanation/Reference:
Explanation:
The assets and liabilities of the purchased firm are included on the balance sheet of the acquiring firm under either method. Under the pooling method, there is no adjustment of balance sheet asset and liability values to their fair values. Under the acquisition method, assets and liabilities acquired are reported at fair value at the time of the purchase. There is no goodwill reported under the pooling method; the purchase price is not reflected on the balance sheet of the acquiring firm. (Study Session 5. LOS 21.a)
NEW QUESTION: 3
What are two ways vsphere cluster, enabled with high availability HA and distributed resource scheduler DRS , differs from traditional failover solution ? two choose .
A. After a vsphere HA cluster is set up, all virtual machines in the cluster get failover support without additional configuration.
B. Vsphere HA requires special software and drivers to be installed within the application or virtual machine.
C. Vsphere HA only protects availability of virtual machines installed on a stand alone esxi host.
D. If a host fails, vsphere DRS can migrate virtual machines to optimize for increased workloads.
Answer: A,D
NEW QUESTION: 4
You work as a Network Administrator for NetTech Inc. You want to know the local IP address, subnet mask, and default gateway of a NIC in a Windows 98 computer. Which of the following utilities will you use to accomplish this ?
A. TRACERT
B. WINIPCFG
C. FDISK
D. NETSTAT
Answer: B