securitisation

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what is the accounting treatment,more specificaly how wil one resolve the imbalance between on and off balance items for securitisation?(assuming that the originator passes 100% control in the assets and continues to service the assets)



Posted on May 5, 2004, 1:00 PM
from IP address 210.7.132.71


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  1. ur query. guess i am not too late, Jun 22, 2005

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