In this study, we discussed some factors affected the multiple NPV of MNC and the host country enterprise in the international equity joint venture through the multiple cash flow methods.
用复合现金流的方法分析了跨国股权战略联盟中一些因素对跨国公司、东道国公司的现金流变化量的影响。
To ensure the correctness of consolidated cash flow statement,it is critical to offset the internal transactions properly.
合并现金流量表正确编制的关键是做好内部业务的抵销。
Making consolidated cash flow statement is still at the initiative stage in China.
合并现金流量表的编制在我国会计界仍然处于讨论阶段。
ChinaTraditional discounted cash flow (DCF) method was not suitable for evaluating the investment projects of oilfield development due to neglecting managerial flexibility in the decision maker under uncertain condition.
由于忽略了不确定条件下决策者的管理柔性,传统的折现现金流方法不适合评价油田开发投资项目。
Following the discounted cash flow approach,a deterministic inventory model for deteriorating items with inflation induced time-varying demand is presented.
利用折现现金流法建立了一类需求率依赖于通货膨胀和时间的变质性产品库存模型,允许缺货,缺货期间损失率与实际缺货量成正比,目标是确定最优的补货次数、补货时间和每次的补货量以使总费用现值最小,分析了模型的性质,给出了寻找最优策略的算法,并通过算例说明了模型。
Since economic profit plays an important role in business valuation, in this article the relationship between business value and economic profit is testified by introducing discounted cash flow.
经济利润在企业价值评估中起着非常重要的作用 ,本文从折现现金流方法入手 ,推导出企业价值和经济利润之间所存在的必然联系。
Concept and characteristics of mining assets were discussed , mathematic developing of theoretical model on foreign prevalent discount-cash flow was emphasized, and hypothesis of cost increase by degrees was inducted, which makes worth evaluation model apply in worth evaluation of the reserve units in a large scale.
论述了矿业资产的概念和特点,探讨了国外流行的贴现现金流理论模型的数学拓展,引入成本递增假设,使价值评估模型能大规模地应用于储量单元的价值评估;拓展模型创立了组合指数贴现系数和成本递增贴现系数,并对拓展结果所涉及的开发参数进行了敏感性分析,对贴现现金流模型的应用及其结果的合理性进行了分析。
It discourses upon mathematic developing of prevalent foreign discount-cash flow,and first introduces cost increasing hypothesis,which will impel value prediction model to be applied extensively to reserves value evaluation.
本文首先对我国石油储量管理体制进行评价,进而论述了矿业资产的概念和特点,文章着重探讨了国外流行的贴现现金流理论模型的数学拓展,首次引入成本递增假设,使价值评估模型能大规模地应用于储量单元的价值评估;拓展模型创立了组合指数贴现系数和成本递增贴现系数,并对拓展结果所涉及的开发参数进行了敏感性分析,最后,文章对贴现现金流模型的应用及其结果的合理性进行了说明和分析。
This paper firstly introduces the most common method for corporate finance - discounted cash flow, and points out its localization.
目前广泛使用的传统公司理财工具 -现金流贴现方法有它的局限性 ,通过对实物期权的历史和原理的阐述 ,加以通俗易懂的例子 ,解释了它在财务理论中的突破性进步。
Discounted cash flow method is considering the company\'s development trend,returning of investment,future growth and more accurately reveal the intrinsic value of stocks,but there are also more difficult to determine the parameters and so on.
目前,资本市场并购定价运用到各种估值方法,其中最为广泛的就是现金流贴现法。
Offsetting of Internal Transactions in Preparing Consolidated Cash Flow Statement;
合并现金流量表编制中内部事项的抵销
Analysis on cash flow and the cash flow of investment project in cash flow statement;
浅析现金流量表现金流量与投资项目现金流量
Comprehensive Analysis about Cash Flow Statements in Hospital
医院现金流量表的综合分析方法探析
ECONOMIC SIGNIFICANCE OF CASH NET FLOW AND METHODS ON READING CASH FLOW BALANCE TABLE;
现金净流量的经济意义和现金流量表阅读法
Cash flow table--preparing method of cash flow from operating activities;
现金流量表——经营活动现金流量编制方法
A Brief Analysis of the Function of Cash Flow Statement and the Classification of the Cash Flow.;
试析现金流量表的作用及现金流量分类
The Applied Research of the Discount Cash Flow Method in the Absorption and Merger of the Group of TCL;
贴现现金流量法在TCL集团吸收合并中的应用研究
Humble Opinion of the Comparision of Forms for Rate of Flow on Cash in the Financial Enterprises and the Industrial and Commerial Enterprises;
刍议金融企业现金流量表与工商企业现金流量表的比较
"The arrows in the diagrams represent the flow of cash, or "cash flow.""
图中的箭头方向表明了现金的流动或"现金流量"。
The general format of the statement of cash flows is shown as Exhibit 11-1.
现金流量表的基本格式如表11.1所示。
The Cash Flow Statement--The Barometer of Enterprise s Financial Situation;
现金流量表——企业财务状况的晴雨表
Analysis on Cash Flow Comparing with Statement of Financial Change;
现金流量表与财务状况变动表之比较
Identification of Accounting Earnings Quality--The Analysis of Cash Flow Statements
会计收益质量的识别——现金流量表分析
Commutation cash current capacity law in physical distribution enterprise merger and acquisition utilization;
折现现金流量法在物流企业并购中的运用
The Effects of Free Cash Flow on the Returns of Bidders;
自由现金流量对公司并购收益的影响
Computer Compilation of Cash Flow Sheet;
现金流量表的计算机编制思想与实现
The statement of cash flows is prepared on a cash basis.
现金流量表是以现金基础(收付实现制)来编报的。
The translation of foreign currency in the cash flow statement shall be subject to the Accounting Standards for Business Enterprises No. 31- Cash Flow Statement.
(三)现金流量表中的外币折算,适用《企业会计准则第31号--现金流量表》。