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A credit ending balance in the account Fair Value Adjustment--Trading Debt Securities, after the year-end adjusting entry, should be interpreted as equal to the
A credit ending balance in the account Fair Value Adjustment--Trading Debt Securities, after the year-end adjusting entry, should be interpreted as equal to the net realized holding loss for that year only. the net unrealized holding loss since purchasing the Trading portfolio of debt securities. the net realized holding loss since purchasing the Trading portfolio of debt securities. the net unrealized holding loss for that year only.
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