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Ownership related question

In one consolidation scope/group can there be 2 entity having assigned method 'HOLDING'.

 

What is the implication of having 2 entities assigned to method 'HOLDING'...because we have 2 entities are holding nearly 20 of the entities and have the investment accounts in them , which needs to be eliminated.

 

What is the impact of having 2 entities assigned to 'holding' method in one scope. Is there any adverse impact.?

 

Appreciate inputs


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