Respuesta :
Solution:
a)
Date Account Titles and Explanation Debit Credit
Jan. 15, 2015 Cash(2,900 *21-2,020) 58880
Gain on sale of stock 9,200
Equity Investment 49,680
b)
Date Account Titles and Explanation Debit Credit
Apr. 17, 2015 Equity Investment (1,100 *33+1860) 38,160
Cash 38,160
c) Unrealised Gain Loss = $73,390
Working
Securities Cost Fair Value Unrealised Gain or loss
Muntner Ltd 509,600 669440 83680
King Co 278390 271600 -6790
Castle Co 41440 27600 -13840
Total of Portfolio 905590 968640 63050
Previous Securities fair value adjustment balance - Cr 10340
Securities Fair value adjustment - Dr 73390
Date Account Titles and Explanation Debit Credit
Dec. 31, 2015 Fair value adjustment 73390
Unrealized GainLoss 73390