AssetBookMerge.actualWriteUpAdjValue_IN Method
constructs the proper version of value models or Depreciation Books to calculate the correct amount for the write up adjustment value.
Syntax
display AssetWriteUpAdj actualWriteUpAdjValue_IN()
Run On
Called
Return Value
Type: AssetWriteUpAdj Extended Data Type
Returns the write up adjustment value amount.
Remarks
As this table can hold value models and Depreciation Books we need to ensure that we are constructing the proper version of this class to calculate the correct amount for the write up adjustment value.