An Empirical Study of Net Assets Disclosure: Inflation Accounting Revisited. An Empirical Study of Net Assets Disclosure: Inflation Accounting Revisited.

An Empirical Study of Net Assets Disclosure: Inflation Accounting Revisited‪.‬

International Journal of Business 2005, Fall, 10, 4

    • US$5.99
    • US$5.99

출판사 설명

ABSTRACT This paper analyzes the differences in methods of calculating and disclosing net assets between Statement of Financial Accounting Standards #33 (FAS33) and other existing current cost and constant dollar methods. Furthermore, this paper provides empirical evidence on the methods employed by a sample of 78 companies that calculate net assets for FAS33 reporting. We found there are many methods being applied to determine net assets. The lack of uniformity reduces the effectiveness of net assets disclosure required by FAS33. This study demonstrates that the Financial Accounting Standards Board should issue statements that are more well-defined and less ambiguous about preferred net asset disclosure methods.

장르
비즈니스 및 개인 금융
출시일
2005년
9월 22일
언어
EN
영어
길이
26
페이지
출판사
Premier Publishing, Inc.
판매자
The Gale Group, Inc., a Delaware corporation and an affiliate of Cengage Learning, Inc.
크기
287
KB
Value and Profit Value and Profit
2017년
Cash Flow Reporting (RLE Accounting) Cash Flow Reporting (RLE Accounting)
2014년
The Decision Usefulness Theory of Accounting The Decision Usefulness Theory of Accounting
2013년
Analysis of Financial Statements Analysis of Financial Statements
2012년
New Metrics for Value-Based Management New Metrics for Value-Based Management
2009년
Analyzing the Fair Market Value of Assets and the Stakeholders' Investment Decisions Analyzing the Fair Market Value of Assets and the Stakeholders' Investment Decisions
2019년
IPO Pricing and Executive Compensation. IPO Pricing and Executive Compensation.
2007년
What is the Performance of Incubators? the Point of View of Coached Entrepreneurs. What is the Performance of Incubators? the Point of View of Coached Entrepreneurs.
2011년
The Treatment of Credit Risk in the Basel Accord and Financial Stability. The Treatment of Credit Risk in the Basel Accord and Financial Stability.
2006년
Executive and Strategic Leadership *. Executive and Strategic Leadership *.
2007년
The Return in Hedge-Fund Strategies. The Return in Hedge-Fund Strategies.
2005년
Asset Allocation and Section 529 Plans. Asset Allocation and Section 529 Plans.
2004년