Form CC‑4b

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ABC Corporation Limited
CC‑4b
Equity accounts
March 31, 2017

To be completed only by enterprise Crown corporations and other government business enterprises.

Table Summary

This table consists of five columns: Accumulated other comprehensive income or losses, Transactions with the Government of Canada, Transactions with Crown corporations or other reporting entities, Transactions with third parties and Total.

Accumulated other comprehensive income (losses)
(in thousands of dollars)
Accumulated other comprehensive income (losses) Transactions with the Government of Canada Transactions with Crown corporations or other reporting entities Transactions with third parties Total
specify XXXX XXXX XXXX XXXX
Balance at beginning April 1       728
Current year other comprehensive income (loss) reclassifying to profit/loss (From CC‑3c) 0 0 1,374 1,374
Amounts reclassified to profit/loss in current year:
Losses (gains) on derivatives designated as cash flow hedges       0
Realized losses (gains) on available-for-sale financial assets       0
Foreign exchange losses (gains) on hedges       0
Other (specify):       0
specify       0
specify       0
specify       0
Total amount reclassified to profit/loss in current year 0 0 0 0
Balance at end of period (To CC‑2) 0 0 1,374 2,102

To be completed only by consolidated Crown corporations and other entities (if applicable).

Table Summary

This table consists of five columns: Accumulated remeasurement gains or losses, Transactions with the Government of Canada, Transactions with Crown corporations or other reporting entities, Transactions with third parties and Total. The rows are divided into three groups: Unrealized gains or losses attributable to, Amounts reclassified to the statement of operations and Exchange gains and losses in a foreign currency.

(in thousands of dollars)
Accumulated remeasurement gains or (losses) Transactions with the Government of Canada Transactions with Crown corporations or other reporting entities Transactions with third parties Total
 XXXX XXXX XXXX XXXX XXXX
Balance at beginning April 1       0
Unrealized gains (losses) attributable to:
Derivatives       0
Portfolio investments       0
Financial instruments designated to fair value category       0
Foreign exchange 50       0
Other (specify):

      0
Amounts reclassified to the statement of operations:
Derivatives       0
Portfolio investments       0
Financial instruments designated to fair value category       0
Foreign exchange 50       0
Other (specify):

      0
Exchange gains and losses in a foreign currency:  
specify       0
specify       0
specify       0
specify       0
Net measurement gain (loss) for the period 0 0 0 0
Balance at end of period (To CC‑2) 0 0 0 0

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