您要查找的是不是:
- The Six Sigma Black Belt should be able to compute the net present value of cash flow streams, and to use the results to choose among competing projects. 西格玛黑带应能计算出现金流转的净现值,并把这个结果用于选择项目。
- IRR Often used in capital budgeting, it's the interest rate that makes net present value of all cash flow equal zero. 内部回报率在资本预算过程中常用的标准,是令所有现金流的净现值等于零的利率。
- Historical cost, current market value, current cost, netrealizable value and present value of future cash flow are concretive expressive forms of fair value. 历史成本、现行市价、现行成本、可变现净值和未来现金流量的现值等,都是公允价值的具体表现形式。
- Function to return the net present value for a series of cash flows contained in the array. 中包含的一系列现金流的净现值。
- If the forecasts of cash flows are biased, even the most careful application of the net present value rule may fail. 如果现金流的预测是带有偏向性的,即使最小心的净现值规则的应用也会失败。
- The present value of future cash flows is the amount that a knowledgeable investor would pay today for the right to receive those future cash flows. 未来现金流入的现值是理智的投资者为得到获取将来现金流入的权利而现在愿意支付的金额。
- NPV An approach used in capital budgeting where the present value of cash inflow is subtracted from the present value of cash outflows. 资本预算采用的一种方法,指流出现金流的现值减流入现金流的现值。
- This example uses the NPV function to return the net present value for a series of cash flows contained in the array Values(). 此示例使用NPV函数返回数组Values()中包含的一系列现金流的净现值。
- Specifying the net present value of an investment based on a series of periodic cash flows (payments and receipts) and a discount rate. 类型的值,指定根据一系列定期现金流(支出和收入)和贴现率确定的投资净现值。
- Assuming that our objective is to maximize the present value of future cash flows, the alternatives selected should be based on a comparison of the difference between cash flows. 假设我们的目标是未来净现金流量的现值最大化,那么所选方案是在对比现金流量的基础上选出来的。
- The internal rate of return(IRR)is defined as the discount rate that equates the present value of the project's future net cash flows with the project's initial cash outlay. 内部收益率是指使项目未来净现金流量的现值与该项目初始投资支出值相等时的贴现率。
- The net present value(NPV)of an investment proposal is equal to the present value of its annual net cash flows after taxes less the investment's initial outlay. 一项投资的净现值等于预值未来每年税后净现金流的现值减去项目初始投资支出。
- Co-operation of cash flow forecast, budget. 资金预算表,及预算。
- Finally, the trend of cash flow analysis. 最后是现金流量表趋势分析。
- This busy pace accompanies lots of cash flow. 这种繁忙的节奏意味着现金流转量很大。
- A rise in interest rates will reduce the price,or present value of all the future cash flows,of the bond. Conversely,a fall in interest rates will in-crease the price,or present value of all future cash flows of the bond. 利率升高会使债券价格下跌,相反的,利率下跌债券价格就会上升。
- A rise in interest rates will reduce the price, or present value of all the future cash flows, of the bond. Conversely, a fall in interest rates will in-crease the price, or present value of all future cash flows of the bond. 利率升高会使债券价格下跌,相反的,利率下跌债券价格就会上升。
- The net present value calculation is based on future cash flows. 净现值计算基于未来的现金流。
- Prepare a statement of cash flows by the indirect method. 用间接法编制现金流量表。
- Present value is the current value of a future payment. 现值是指未来一笔收入折合到现在的价值。