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- The main cash outflows included in this category are cash payments to stockholders as dividends, to redeem borrowing and reacquire capital stock. 籌資活動(dòng)產(chǎn)生的現金流出主要包括作為股利向股東支付的現金、償還借款和贖回股票所支付的現金。
- On total cash outflows of $7,240,the loss comes to 40.9% while the index drops by a relatively small 8.2%. 這個(gè)損失相當于他動(dòng)用到的資金7240元的40.;9%25。在同一時(shí)間里,此指數期貨跌幅8
- The effect of the fourth transaction is a $10 increase of intangible assets resulting in an equal cash outflows. 第四筆經(jīng)濟業(yè)務(wù)的效果是,無(wú)形資產(chǎn)增加了10美元,并相應導致了等額的現金流出。
- Cash payments for purchases are the basic and important item of cash outflows from operating activities. 購貨支付的現金是經(jīng)營(yíng)活動(dòng)產(chǎn)生的現金流出中的一個(gè)基本的和重要的項目。
- The effect of the eighth transaction is a $10 decrease of retained earning related to payment of dividends, resulting in an equal cash outflows. 第八筆經(jīng)濟業(yè)務(wù)的效果是,留存收益減少了10美元,并由于支付股利而相應導致了等額的現金流出。
- On total cash outflows of $7,240, the loss comes to 40.9% while the index drops by a relatively small 8.2%. 這個(gè)損失相當于他動(dòng)用到的資金7240元的40.;9%25。在同一時(shí)間里,此指數期貨跌幅8
- Second, they sort cash outflows into two categories: current expenses and capital expenses. 第二,他們把現金流出分為兩類(lèi):當期費用和資本費用。
- The effect of the first transaction is a $10 increase of investments, resulting in an equal cash outflows. 第一筆經(jīng)濟業(yè)務(wù)的財務(wù)效果是,投資增加了10美元,并使現金流出等額增加。
- Studies reveal that MBO positively affects the operational cash flow, but marginally on other financial indicators. 研究發(fā)現,MBO對經(jīng)營(yíng)性現金流產(chǎn)生了積極的正向作用,但對其余財務(wù)指標的影響并不顯著(zhù)。
- On total cash outflows of $7,240,the loss of $2,960 amounts to a 40.9% loss while the index drops by a relatively small 8.2%. 這個(gè)損失相當于動(dòng)用到的資金7240元,損失2960元相當于40.;9%25。在同一時(shí)間里,此指數期貨的價(jià)格跌幅8
- NPV An approach used in capital budgeting where the present value of cash inflow is subtracted from the present value of cash outflows. 資本預算采用的一種方法,指流出現金流的現值減流入現金流的現值。
- On total cash outflows of $7,240, the loss of $2,960 amounts to a 40.9% loss while the index drops by a relatively small 8.2%. 這個(gè)損失相當于他動(dòng)用到的資金7240元(5000元加上補倉2240元)的40.;9%25。在同一時(shí)間里,此指數期貨的價(jià)格從180
- The main purpose of the statement of cash flow is to report the cash inflows and the cash outflows during an accounting period. 現金流量表的主要目的是報告某一會(huì )計期間現金流入和現金流出的情況。
- We analyze the project as if it were all equity-financed, treating all cash outflows as coming from stockholders and all cash inflows as going to them. 我們分析這個(gè)項目就好像它是完全通過(guò)權益融資的,把所有的現金流出作為從股東處流出對待,把所有的現金流入作為流入股東處對待。
- A cash flow gap occurs when your cash inflows and cash outflows don't keep pace with each other, leaving your business short of cash. 在你的資金流入和資金流出有差額的時(shí)候就出現了資金缺口,這會(huì )讓你的公司缺少資金。
- Cash outflow: due to increase in estimated loans, due from CBC and lend to banks and available-for-sale financial assets. 全年現金流出量:預估放款量、存放央行及拆借銀行同業暨備供出售金融資產增加所致。
- This article draws from existing research and improves empirical method and analyzes the manipulation over operational cash flow of 554 A share listed companies which refinanced between 1999 and 2004. 摘要本文在已有研究思路的基礎上,改進(jìn)了實(shí)證方法,考察了1999-2004年再融資的554家A股公司的經(jīng)營(yíng)性現金流操縱行為。
- When mutually exclusive choices involve different lengths or time patterns of cash outflows, comparison is difficult unless you convert present values to equivalent annual costs. 當互斥選擇涉及現金流出的不同的跨度或者時(shí)間模式,比較就是困難的除非你將現值轉化為等價(jià)年成本。
- Roles:Supervise the daily operations of OPER Cash and OPER Swap.Preparation of fixed deposit confirmation to HK / Loan d...... ... 公司名稱(chēng):上海友創(chuàng )人力資源有限公司工作地點(diǎn):廣東省廣州市發(fā)布時(shí)間:2009-7-10
- The total amounts and the construction of the assets, liabilities, and the stockholder's equities embody a corporation's financial position, by the cash outflows, inflows and the net flows. 公司的財務(wù)狀況是通過(guò)資產(chǎn)、負債和股東權益的總額及其結構以及現金流入、流出和凈流量情況體現出來(lái)的。