Someone believed that firms should seek to maximize the value of future net cash flows.
有人认为公司应追求未来净现金流入价值的最大化。
Using indirect method, we can also calculate the net cash flows from operating activities .
采用间接法,我们也可以计算出经营活动产生的现金流量。
These methods have been proposed to estimate the annual net cash flows and sales volume of each year.
给出了计算年现金流量和年销售量的方法。
The net cash flows will differ from one year to another. The book-value ROI may not work when the company.
每年的净现金流将会不同。
This article studies the value of the firm under the condition of stochastic future net cash flows, and builds up the stochastic optimization model of the firm value.
本文研究了净现金流为随机过程情况下的企业价值,并建立了企业价值的随机优化模型。
Choose finance the net present value method, based on net cash flows in accordance with the various sources of the project, identified as risk variables, and a detailed exposition and analysis.
确定以财务的净现值法为基础,按照净现金流的各个来源项目,确定为风险变量,并进行了详细的阐述和分析。
The net present value (NPV) of a sequence of cash flows depends on the interest rate (r) used.
序列现金流的净现值(NPV)依赖于使用的利率(r)。
D the financial impact of the departure on the enterprise's net profit or loss, assets, liabilities, equity and cash flows for each period presented.
该种背离对企业每个列报期间的净损益、资产、负债、权益和现金流量所产生的财务影响。
In the cash flow are also less than ideal, cash flows generated from operating activities net -7070.8 million.
在现金流方面也不甚理想,经营活动产生的现金流量净额为- 7070.8万。
Under the indirect approach of statement of cash flows, adjusting net income to determine cash flows from operating activities is the main character.
现金流量表间接法部分的主要编制特色是将净利润调节为经营活动现金流量。
The statement of cash flows reports a business's cash receipts, cash disbursements, and net change in cash for the accounting period.
现金流量表反映了企业在一定会计期间的现金收入,现金支出,和现金净变动。
The net present value calculation is based on future cash flows.
净现值计算基于未来的现金流。
The net present value calculation is based on future cash flows.
净现值是以未来现金流转为基础来计算。
The net present value calculation is based on future cash flows.
净现值是以未来现金流转为基础来计算。
应用推荐