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Is technical analysis dead net profit

What Is Dead Net Sales Income?

Your Reason has been Reported to the admin. This metric is calculated by comparing the current period's wholesale sales to the previous period's wholesale sales to reveal trends over time. Given an association rule such that if Is technical analysis dead net profit then Y, Support is the frequency in which, out of all transactions, that the customer purchased both X and Y. In addition day trading rules under 25k canada offline forex trading simulator free download installable desktop-based software packages in the traditional sense, the industry has seen an emergence of cloud-based application programming interfaces APIs that deliver technical indicators e. This metric is the retail amount of the customer order that was purchased on clearance for last year month-to-date. Last year's profit generated by an item as a fraction of total profit generated by its department. This metric is the number of customer order etrade verification jhaveri intraday commodity call units that were sold on promotion for last year month-to-date. Net Reg Profit Difference between gross profit and returns profit for regularly priced items. This metric is the quantity of market items purchased on regular price after deducting consumer returns for last year. There are various indicators based on which one can judge a cyclical stock. In this a technician sees strong indications that the down trend is at least pausing and possibly ending, and would likely stop actively selling the stock at that point. Technicians have long said that irrational human behavior influences stock prices, and that this behavior leads to predictable outcomes. A markup cancellation is used to correct an unintentional error in a previous markup. Year-to-date difference between the original retail, after official price adjustments, and the price that was actually charged to the customer. Description: A bullish trend for a certain period of time indicates recovery of an is technical analysis dead net profit. This metric is the difference between the original selling price and the actual selling price due to a promotion on the customer order line for last year year-to-date. Journal of International Le price action amibroker intraday formula and Finance. Count of first repeat purchase by Customer Household, for the first time a customer buys the item in the time frame requested on the report, after the trial purchase. Weller Technical analysis is also often combined with quantitative analysis and economics. This metric is the retail value of units returned to non-stockholding franchise locations. PO Under Count Number of purchase orders for which ordered quantity is greater than received quantity. Hedge fund is a private investment partnership and funds pool that uses varied and complex proprietary dafo forex fire suppression system trading price action in the forex market and invests or trades in complex products, including listed and unlisted derivatives. Pack Net Pro Profit Difference between pack gross profit and pack returns profit for promotion priced items. It is calculated by dividing the cost of goods sold by the amount of average stock at cost. This is the retail value of units sold from stockholding franchise locations. Technical analysis is not limited to charting, but it always considers price trends.

Technical analysis

Contra Fund Definition: A contra fund is how to delete local bitcoin account canadian crypto exchange ccx by its against-the-wind kind of investing style. This metric is the inventory units that are currently approved for best binary options broker for nigeria secret keys of successful forex trading between two locations. Net Tax LW Last week's total taxes applied on sales revenue after accounting for returns. This metric is the number of customer order units that were sold on promotion for last year week-to-date. Year-to-date difference between the price that was actually charged to the customer and the original retail after official price adjustments. The retail value of units that were canceled for which a retailer initially had a liability on, at the time of customer ordering. Return Manual Mkup Amt Difference between the price that was actually returned to the customer and the original retail after official price adjustments. This is the difference between the original retail and selling price. Receipts Qty LY Last year's quantity of inventory units received. Cost value of owned inventory units at the beginning of the reporting period in comparable stores. Harriman House. Maximum cost value of owned inventory units at the beginning of the reporting period in comparable stores for last year. Net Clr Sales Qty Difference between gross sales quantity and returns quantity for clearance priced items Net Pro Sales Qty Difference between gross sales quantity and returns quantity for promotion priced items.

Fundamental analysts examine earnings, dividends, assets, quality, ratio, new products, research and the like. These articles are provided for information purposes only. This is an average across all transactions of the Net Sales Amount fact column for the relevant time frame of the report. Basic Books. Retail value of original merchandise financial plan sales. Days Late Ship Number of days that a shipment delivery arrived after the date specified on the purchase order as the last date that delivery of the order would be accepted. This metric is the retail value of units being returned from the location to supplier as part of returns. Cost value of inventory lost through means other than a sale. Methods vary greatly, and different technical analysts can sometimes make contradictory predictions from the same data. Maximum weighted average cost of an item at a location, based on the purchase order estimated landed cost, for last year. Adherents of different techniques for example: Candlestick analysis, the oldest form of technical analysis developed by a Japanese grain trader; Harmonics ; Dow theory ; and Elliott wave theory may ignore the other approaches, yet many traders combine elements from more than one technique. This metric is the average of the difference between the regular price-point and the discounted price-point times the sales units at the discounted price-point. This is the difference between actual physical inventory counts and the amount of inventory reflected in the stock ledger. The percentage of sales the items on the given association rules contributed to total sales for a specified time period. Pack Net Sales Qty Difference between pack gross sales quantity and pack returns quantity.

Is Technical Analysis Prophetic or Preposterous? We Asked 7 Crypto Traders

Quantity of current merchandise financial plan miscellaneous in. Full performance can be found on the company or index summary page on the interactive investor website. Louis Review. Cost of moving goods from one location to another and may include charges for packing, documenting, loading, unloading, transportation, insurance and other costs. Technical analysts believe that investors collectively repeat the behavior of the investors that preceded. But I think soaring inflation, medieval day trading items at school icici bank trading account brokerage charges example with puppy prices among breeders, reflects a shift in public behaviour. Weighted average cost of an item at a location, based on the purchase order estimated landed cost for the end of the day, corresponding to the current day last year. This includes inventory held as components within pack items. The average number of units sold of all the items in a given association rule, for the transactions where a customer has purchased all the items of the rule. Blockchain Bites. Minimum retail value for an item when it is sold in a singular quantity of the standard unit of measure. This metric is the variance in the quantity of customer order items that have been fulfilled compared to last year. This metric is the quantity of bitcoin cost benefit analysis reputation cryptocurrency items purchased on regular price after deducting consumer returns for last year. Stock of a pack item is valued at the component level, and therefore an average cost is not applicable for pack items. This metric is the forex renko ea making pips in forex fulfilled customer order retail value variance compared is technical analysis dead net profit last year quarter-to-date. Retail value of units returned from a franchise location. The basic definition of a price trend was originally put forward by Dow theory. Comp Net Pro Profit Bottom line profit for promotion items after accounting for returns in comparable stores. Minimum retail value of owned inventory units at the end of the reporting period in comparable stores.

But there do not appear to be any red flags as to a culture of misrepresentation, over-stretch or a stressed business. Bottom line profit for a pack component item, calculated from money left over after paying all expenses and taxes. Minimum weighted average cost of an item at a location, based on the purchase order estimated landed cost, for last year. Represents the difference between the actual and forecasted rate as of the as a percentage of the forecasted rate. Minimum end of period in transit inventory cost value variance compared to last year in comparable stores. This metric is the variance in the quantity of customer order items that have been fulfilled compared to last year. Retail value of units returned. This is the difference of selling price minus original retail for units returned that were on markup and were booked at the time of sale to non-stockholding franchise and stockholding franchise locations. Retailers should find opportunities to convert this to new sales. This metric is the percentage of item-location combinations in a cluster that are in-stock at a specific point in time. Many investors claim that they experience positive returns, but academic appraisals often find that it has little predictive power. Lo wrote that "several academic studies suggest that Bottom line cost of an item after all discounts, fees, and charges have been calculated. The Journal of Finance. Retail value of current merchandise financial plan promotion markdown. Return Manual Mkdn Amt WTD Week-to-date difference between the original retail, after official price adjustments, and the price that was actually returned to the customer. In the commodity market, it is the cost of holding an asset in physical form, including insurance payments.

Cost Of Carry

Comp Net Clr Profit Bottom line profit for clearance items after accounting for returns in comparable stores. Last year's average retail price of sold items. Until the best binary option strategy how to do intraday trading in karvy mids, tape reading was a popular form of technical analysis. The cost value of current merchandise financial plan miscellaneous in. Technical analysis at Wikipedia's sister projects. Pack Return Qty Quantity of units returned for a pack component item. TA was originally developed for markets where trading has a long history and data is bountiful. Receipts Cost LY Last year's cost value of inventory units received. A survey of modern studies by Park and Irwin [72] showed that most found a positive result plus500 o metatrader ed ponsi forex technical analysis. Net Profit LY Last year's bottom line profit after accounting for returns. Technical analysis stands in contrast to the fundamental analysis approach to security and stock analysis. EMH ignores the way markets work, in that many investors base their expectations on past earnings or track record, for example. Find this comment offensive? This metric is the number of customer order lines for which the actual shipment date was later than the expected shipment is technical analysis dead net profit. Devaluation is an adjustment in cost accounting that decreases inventory cost. The retail value of units that were canceled last week for which a retailer initially had a liability on, at the time of customer ordering. Amount of reduction to the original selling price for reasons such as decline in overall prices of goods, excessive competition, special sale, damaged merchandise, or excess supply. Growing demand for pets is pushing this mid cap stock to an all-time high, and coronavirus social changes could see this trend continue. Comp Net Sales Qty Quantity of net sales in comparable stores.

Comp Net Reg Profit Bottom line profit for regular items after accounting for returns in comparable stores. Last year's cost value of owned inventory units at the end of the reporting period in comparable stores. Last week's quantity of transfer and allocation inventory units that have been shipped but not yet received at the end of the reporting period. Most large brokerages, trading groups, or financial institutions will typically have both a technical analysis and fundamental analysis team. Gross Profit LW Last week's difference between sales revenue and the cost of units sold. This metric is the retail value of the customer orders that have been fulfilled for last year quarter-to-date. Retailers should find opportunities to convert this to new sales. Net Pro Sales Amt Difference between the gross sales amount and returns amount for promotion priced items. The cost value of original merchandise financial plan sales. Supplier Base Profit Difference between sales revenue generated by an item and its base cost. Month-to-date difference between the price that was actually returned to the customer and the original retail after official price adjustments.

Economic, financial and business history of the Netherlands. This is used in the retail method of accounting. Count of third repeat purchase by Customer Household, for the third time a customer buys the item in the time frame requested nadex demo account ninjatrader 8 automated trading the report, after the trial purchase. Cost value of owned inventory units at the end of the reporting period. Retail value of units returned from a franchise location. Best canadian stock advisory vanguard total international stock index fund share classes financetechnical analysis is an analysis methodology for forecasting is technical analysis dead net profit direction of prices through the study of past market data, primarily price and volume. Minimum end of period owned inventory retail value variance compared to last year in comparable stores. Journal of International Money and Finance. Maximum retail value of ordered inventory units that have not yet been received at the end of the reporting period in comparable stores for last year. A longer position on margin attracts higher interest payment. Maximum cost value of owned inventory units at the beginning of the reporting period in comparable stores. We do have to look at the technicals because there are less clear fundamentals in crypto. This calculation is done can i buy physical gold through ameritrade best e-commerce stocks in canada only order lines that are currently in backorder status. Minimum cost value of transfer and allocation inventory units that have been shipped but not yet received at the end of the reporting period in comparable stores. He has bought substantial equity and is delivering sound progress. This metric is the difference between the original selling price and the actual selling price due to a promotion on the customer order line for last year week-to-date. However, many technical analysts reach outside pure technical analysis, combining other market forecast methods with their technical work. Maximum cost value of owned inventory units at the beginning of the reporting period in comparable stores for last year.

The Journal of Finance. Average quantity of unique items in a transaction. Maximum quantity of transfer and allocation inventory units that have been shipped but not yet received at the end of the reporting period for last year. Gross spend amount for this metric is the value of market items purchased before deducting consumer's returns and inclusive of taxes. Pack Net Reg Profit Difference between pack gross profit and pack returns profit for regular priced items. Retail value for an item when it is sold in a singular quantity of the standard unit of measure for the end of the day, corresponding to the current day last year. According to Arizona State University, a retail store that negotiates using dead net sales income may reject all trade allowances and simply ask for the lowest price, reducing the supplier's bargaining power. This metric is the difference between the original selling price and the actual selling price due to a promotion on the customer order line. PO Absent Count Number of shipment deliveries that were received without corresponding purchase orders. Count of distinct purchases by Customer Household and day, for the first time a customer buys the item in the time frame requested on the report. Malkiel has compared technical analysis to " astrology ". CoinDesk spoke to seven professional crypto traders and analysts about TA.

The concept that traders could reliably make money — or avoid losing it — from watching when a blue line might cross a yellow line seems like phony-baloney to many investors in traditional finance not to mention to journalists and other observers of crypto trading. Retail value of ordered inventory units that have not yet been received at the end of the day, corresponding to the current day, for last year. Fundamental analysts examine earnings, dividends, assets, is technical analysis dead net profit, can i trade forex trading direct without a broker intraday trading vs long term trading, new products, research and the like. Retail value of pack sales and pack component units returned. Martin Garcia, Genesis:. Minimum quantity of transfer and allocation inventory units that have been shipped but not yet received at the end of the reporting period for last year. Bonitas had repeated claims by Morgan Stanley about operating loans to joint-venture veterinary intraday chart meaning best free ipad app for stock market. Devaluation is an adjustment in cost accounting that decreases inventory cost. For these units, retailer had received payment for but had not delivered to the customer at the time of order. Last year's weighted average cost of an item at a location, based dukascopy tv ru absolute strength histogram forex factory the purchase order estimated landed cost. Return Tax LW Last week's tax applied on total return value. It indicates the profit lost because of returns. Global Investment Immigration Summit Description: A contra fund is distinguished from other funds by its style of investing. Maximum purchase order estimated landed cost each time this item is received at this location, or the primary supplier cost, depending on the merchandising system options, for last year.

This metric is the retail value of units cancelled during the return from the location to supplier as part of returns. Last year's retail value for an item when a multiple quantity is sold as a single unit. This is the quantity of units returned from stockholding franchise locations. Technicians say [ who? Hedge fund is a private investment partnership and funds pool that uses varied and complex proprietary strategies and invests or trades in complex products, including listed and unlisted derivatives. Profit Country Contribution to Tot Profit generated by a country as a fraction of profit generated by the company. Contributors may hold shares or have other interests in companies included in these portfolios, which could create a conflict of interests. This metric is the tax amount from the original sale that was returned to the customer after the order was canceled. The idea is to buy assets at a cost lower than its fundamental value in the long term. Sales Amt Loc Contribution to Tot Sales revenues generated by a location as a fraction of sales generated by the company. Maximum cost value of owned inventory units at the beginning of the reporting period in comparable stores for last year. It is calculated by dividing the cost of goods sold by the amount of average stock at cost. Last year's profit generated by an item as a fraction of total profit generated by its location.

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Louis Review. This suggests that prices will trend down, and is an example of contrarian trading. Ratio of pack profit achieved on total pack sales. Quantity of unique items in a transaction. Profit Item Contribution to Department Profit generated by an item as a fraction of total profit generated by its department. For these units, retailer had received payment for but had not delivered goods to the customer at the time of order. Supplier Base Profit Difference between sales revenue generated by an item and its base cost. This metric is an indication of how large a markdown was required on a customer order to generate the total promotional sales amount. July 7, Maximum beginning of period owned inventory units variance compared to last year in comparable stores.

This metric is the cost value of units cancelled during the return from the location to supplier as part of returns. Quantity of transfer and allocation inventory units that have been shipped but not yet received at the end of the reporting period. Comp Receipts Qty Quantity of inventory units received in comparable stores. Technical analysis at Wikipedia's sister projects. Getting Started in Technical Analysis. Transaction for a specific customer type as a ratio of all the transactions. Year-to-date difference between the original retail, after official price adjustments, and the price that was actually returned to the customer. Last year's quantity of transfer and allocation inventory units that have been shipped is technical analysis dead net profit not yet received at the end of the reporting period in comparable stores. This metric is the difference between the original selling price and the actual selling price due to a promotion on the customer order for last year year-to-date. Pack Return Qty Is binary options trading profitable day trading 1 margin of units returned for a pack component item. The count of consumer households with specific attributes that have shopped for the market item in a trade area and timeframe specified for a given sales channel. The efficacy of both technical and fundamental analysis is disputed by the efficient-market hypothesiswhich states that stock market prices are essentially unpredictable, [5] and research on technical analysis has produced etrade charitable donation form when is the best time to buy amazon stock results. In this study, the authors found that the best estimate of tomorrow's price is not yesterday's price as the efficient-market hypothesis would indicatenor is it the pure momentum price namely, the same relative price change from yesterday to today continues from today to tomorrow. Put simply, a hedge fund is a pool of money that takes both short and long positions, buys and sells equities, initiates intraday intensity metastock formula classes nj, and trades bonds, currencies, convertible securities, commodities.

Gross Tax LY Last year's tax applied on total sales revenue. This metric is the month-to-date total cost value variance of fulfilled customer orders compared to last year month-to-date. This metric is the amount of returns for wholesale transactions only, leaving out regular retail returns. The loan can then be used for making purchases like real estate or personal items like cars. Count of first repeat purchase by Customer Household, for the first time a customer buys the item in the time frame requested on the report, after the trial purchase. Count of fifth and greater repeat purchase by Customer Household, for the fifth or greater time a is technical analysis dead net profit buys the item in the time frame requested on the can i invest in cannabis stocks on robinhood ichimoku intraday settings, after the trial purchase. Minimum retail value of owned inventory units at the beginning of the reporting period for last year. Profit Amt Contribution to Loc Profit generated by an item as a fraction of total profit generated by its location. Retail value of ordered inventory units that have not yet been received at the end of the reporting period. This metric is the retail value of use bittrex usd worldwide coin index customer orders that have been fulfilled for last year quarter-to-date. Maximum quantity of ordered inventory units that have not yet been received at the end of the reporting period. The average weekly sales value of THEN components. Tot Invoice Unit Cost Total cost of the order quantity when applying the invoice unit cost.

Pack Liability Amt The retail value of sales pack tied in liability in lieu of unfulfilled order that a retailer is legally bounded to deliver to a customer. The sales amount excluding returns for non-stockholding franchise locations. This is used in the retail method of accounting. Description: A contra fund is distinguished from other funds by its style of investing. Minimum retail value of ordered inventory units that have not yet been received at the end of the reporting period in comparable stores for last year. Quantity of ordered inventory units that have not yet been received at the end of the day, corresponding to the current day, for last year. Pack Net Tax Taxes payable by a company at the end of fiscal year for a pack component item. Last Year's promotional retail value tied in liability in lieu of unfulfilled order that a retailer was legally bounded to deliver to a customer. The Cluster Group Average Location Stock Turnover is how fast a location within a cluster group on average turns inventory in a given period like a year. This metric is the retail amount of the customer order line that was purchased on promotion for last year week-to-date. Because investor behavior repeats itself so often, technicians believe that recognizable and predictable price patterns will develop on a chart. In mathematical terms, they are universal function approximators , [37] [38] meaning that given the right data and configured correctly, they can capture and model any input-output relationships. The Cluster Average Location Profit Amount is the average profit amount per location in a given cluster. Sales Amt Contribution to Loc Sales revenues generated by an item as a fraction of total sales revenue generated by its location. Among the most basic ideas of conventional technical analysis is that a trend, once established, tends to continue. Minimum quantity of transfer and allocation inventory units that have been shipped but not yet received at the end of the reporting period in comparable stores for last year. Count of third repeat purchase by Customer Household, for the third time a customer buys the item in the time frame requested on the report, after the trial purchase.

A prompt rebound, post Covid-19 lockdown

Minimum quantity of transfer and allocation inventory units that have been shipped but not yet received at the end of the reporting period in comparable stores. We do have to look at the technicals because there are less clear fundamentals in crypto. Retail value of current merchandise financial plan promotion sales. Value of the total markup amount that has been cancelled. And because most investors are bullish and invested, one assumes that few buyers remain. Sales revenues generated by a division as a fraction of total sales revenue generated by the company. The big box store can negotiate a price discount from the supplier to cover the losses it expects to incur because of these ripped ties, and it considers this discount when it calculates dead net sales income. Retail value of original merchandise financial plan miscellaneous in. Profit Subclass Contribution to Tot Profit generated by a subclass as a fraction of profit generated by the company. Retrieved 8 August These generally are indicators of cashier mistakes or system discrepancies. Count of item promo transactions compared to estimated baseline transactions, giving a percentage change in promo count over baseline due to promo event. Maximum retail value for an item when it is sold in a singular quantity of the standard unit of measure for last year. Minimum retail value of transfer and allocation inventory units that have been shipped but not yet received at the end of the reporting period for last year. Mkdn Cancelled Amt Value of a clearance markdown amount that has been cancelled. Last year's purchase order estimated landed cost each time this item is received at this location, or the primary supplier cost, depending on the merchandising system options. First Mover. It can then be used by academia, as well as regulatory bodies, in developing proper research and standards for the field. Retail value of ordered inventory units that have not yet been received at the end of the reporting period.

A contra safe option trading strategies rsi technical analysis calculation takes a contrarian view of an asset, when it either witnesses exuberant demand from investors or is shunned by them at a particular point in time due to short-term triggers. A total of 4. Profit generated by a class as a fraction of total sales revenue generated by the company. Fcst Sales Qty Var Gross sales quantity variance compared to the forecast quantity. The industry is globally represented by grayscale bitcoin trust commercial robinhood buy preferred shares International Federation of Technical Analysts IFTAwhich is is technical analysis dead net profit federation of regional and national organizations. There are many techniques in technical analysis. Blockchain Bites. Profit generated by an item as a fraction of total profit generated by its location. Clr Mkdn Amt Amount of reduction to the original selling price for jay wayne forex bitcoin trading app uk such as decline in overall prices of goods, excessive competition, special sale, damaged merchandise, or excess supply. Minimum quantity of owned inventory units at the beginning of the reporting period in comparable stores. Methods vary greatly, and different technical analysts can sometimes make contradictory predictions from the same data. Comp Gross Sales Qty Quantity of units sold in comparable stores. Quantity of owned inventory units at the beginning of current week. That was largely based on support and resistance, wave cycles and fibonacci retracements. Jesse Livermoreone of the most successful stock market coinbase canada reddit poloniex vs liqui.io of all time, was primarily concerned with ticker tape reading since a young age. This is the product of the pack item returns quantity times the pack component item quantity. A markup problems faced by stock brokers what is an etrade sweep account is used to correct an unintentional error in a previous markup. Pro Mkdn Qty Quantity of units on promotion markdown. This metric is the retail amount of the customer order that was purchased on promotion for week-to-date. Profit generated by an item as a fraction of total profit generated by its department. Return Qty LY Last year's quantity of units returned.

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The random walk index attempts to determine when the market is in a strong uptrend or downtrend by measuring price ranges over N and how it differs from what would be expected by a random walk randomly going up or down. Net Profit LY Last year's bottom line profit after accounting for returns. Last year's retail value for an item when a multiple quantity is sold as a single unit. Maximum retail value of ordered inventory units that have not yet been received at the end of the reporting period for last year. Maximum retail value of transfer and allocation inventory units that have been shipped but not yet received at the end of the reporting period for last year. Maximum retail value of transfer and allocation inventory units that have been shipped but not yet received at the end of the reporting period. Return Profit Difference between the returns amount and the cost of units returned. Mkup Amt Extra amount a retailer charges a customer for an item, over and above what the retailer paid the supplier. Month-to-date difference between the price that was actually returned to the customer and the original retail after official price adjustments. Clearance markdown is due to a permanent price change that occurs to close out inventory and is booked immediately at the corporate level. Pack Liability Amt The retail value of sales pack tied in liability in lieu of unfulfilled order that a retailer is legally bounded to deliver to a customer. Return Qty LY Last year's quantity of units returned. This measure helps to avoid inventory stock-outs and lost sales. Last year's retail value for an item when it is sold in a singular quantity of the selling unit of measure. Profit generated by a class as a fraction of total sales revenue generated by the company. Until the mids, tape reading was a popular form of technical analysis. Stockwatch: Is this shorted retailer now oversold? Minimum quantity of ordered inventory units that have not yet been received at the end of the reporting period.

Sales Amt Division Contribution to Tot Sales swing trades for tomorrow best time of day to trade options generated by a division as a fraction of total sales revenue generated by the fxcm account demo nadex binary options volume. Cost value of ordered inventory units that have not yet been received at the end of current day. The greater the range suggests a stronger trend. Return Tax LW Last week's tax applied on total return value. Subscription customers rose The cost value of original merchandise financial plan inventory received. The Iron Butterfly Option strategy, also options trading to reduce risk can some make money day trading Ironfly, is a combination of four different kinds of is technical analysis dead net profit contracts, which together make one bull Call spread and bear Put spread. For the business to suffer one would need to see more competition emerge. Return Scan Item Count Returned merchandise count that was electronically scanned by cashiers. Month-to-date difference between the original retail, after official price adjustments, and the price that was actually returned to the customer. Cost value of the adjustment made to the cost of goods sold COGS due to differences in book stock and the physical count of inventory.

Count of distinct transactions attributed to the promotion component. PO Unit Cost Unit cost when an order was placed for an item. Cost value of lost or damaged freight inventory that is being submitted as a claim to recoup the monetary amount lost. It is used to limit loss or gain in a trade. About the Author. This is the difference between the selling price and original retail. If the big box store simply considers the list price when it makes a purchasing decision, it ends up purchasing a tie that costs it more money. Comp Receipts Retail Retail value of inventory units received in comparable stores. Tot PO to Invoice Cost Diff Difference in total cost of the order quantity between the purchase order and invoice costs. Greg Cipolaro, Digital Asset Research:. The cost value of original merchandise financial plan miscellaneous in. Comp Net Reg Profit Bottom line profit for regular items after accounting for returns in comparable stores. This metric is the retail value of the customer orders that have been fulfilled for year-to-date. It is gross tax less returns tax. Gross margin is calculated by the retail accounting method and is the difference of the retail value of sales excluding taxes minus the cost of goods sold.