Question: Cameron Company has a portfolio of debt investments that it
Cameron Company has a portfolio of debt investments that it has managed as a trading investment. At December 31, 2010, Cameron had the following balances related to this portfolio: debt investments, £250,000; securities fair value adjustment, £10,325 (Dr). Cameron management decides to change its business model for these investments to a held-for-collection strategy, beginning in January 2011. Prepare the journal entry to transfer these investments to the held-for-collection classification.
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