Asset explorer -Wrong value displayed after retirement of an asset.

Hi All,
We have posted a settlement from AUC to Assetas 30.11.2009 .The amount settled is a negative amount (-100) .The asset value  is  for ex : Rs100 and after settlement the asset value is Rs 90.
Then we had made retirement to that asset  of Rs 10(positive value) using tcode FB01 and TTY 20A.Then the asset value should reflect as Rs 100 again.
I am not sure why the system now displays asset value as Rs 100 +Rs 10(retirement - positivevalue) = Rs 110 as asset value.
However system should do Rs100 +(Rs -10) +Rs10=Rs100 as asset value in asset explorer.However it displays amount as Rs 110.
Please advice where do i correct to get the values displayed correctly in asset explorer.
Regards
Rekha

hi
first implement notes 988238, then please recaculate the values.
Blaz

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