Equivalent example sentences
A Cash flow statement shows inflow and outflow of cash and cash equivalents from various activities of a company during a specific period.What happens to the value of current when a number of resistors are connected in series in a circuit? What would be their equivalent resistance? Let us try to understand these with the help of the following activities.What kind of adjustments take place from this entire transaction? The commercial bank's total reserves and deposits remain unchanged (it has purchased the foreign currency from the seller using its vault cash, which, therefore, goes down; but the bank's deposit with RBI goes up by an equivalent amount – leaving its total reserves unchanged).Suppose that we like to replace the series combination of electric lamp and conductor by a single and equivalent resistor.A cash flow statement provides information about the historical changes in cash and cash equivalents of an enterprise by classifying cash flows into operating, investing and financing activities.It is called 'equivalence' because it argues that taxation and borrowing are equivalent means of financing expenditure.Purchase the investments equivalent to the fixed amount of profit set aside and the interest earned every year except last year (year of redemption).Since the value of expenditure must be equal to the value of goods and services, we can equivalently measure the aggregate income by calculating the aggregate value of goods and services produced by the firms.Purchase the investments of the equivalent amount at the end of first year and debit it Debenture Redemption Fund Investment (DRFI) Account.As per AS 3, cash flows exclude movements between items that constitute cash or cash equivalents because these components are part of the cash management of an enterprise rather than part of its operating, investing of financing activities.There is also a third important financial statement known as Cash flow statement, which shows inflows and outflows of the cash and cash equivalents.Purchase the investments equivalent to the fixed amount of profit set aside and the interest earned every year except last year (year of redemption).' As stated earlier cash flow statement provides information about change in the position of Cash and Cash Equivalents of an enterprise, over an accounting period.A company shall create Debenture Redemption Reserve equivalent to at least 50% of the amount of debenture issue before starting the redemption of debenture.Purchase the investments of the equivalent amount at the end of first year and debit it Debenture Redemption Fund Investment (DRFI) Account.
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