企业未来现金流量预测测的英文怎么说

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Making Use of the Cash Flow Statement to Analyse Enterprise's Financial Conditions
利用现金流量表分析企业财务状况
We make use of the cash flow statement to analyse the financial conditions including some aspects as follows: One is cash fl
利用现金流量表分析财务状况包括以下几个方面 :一是企业现金的流入、流出 ;
Study on Some Problems about Analysing the Statement of Cash Folw
对现金流量表分析若干问题的研究
On analysis system of cash current chart in new period
新时期现金流量表分析系统的思考
An effective Way to Authenticate the Quality of Profit Gained by Listed Companies-Analysis on Cash-flow Statement
鉴别上市公司盈利质量的有效方法——现金流量表分析
Analysis of Enterprise Financial Situation with Cash Flow Statement
利用现金流量表分析企业财务状况
Investigation of the Purpose in Analyzing the Statement of Cash Flows
关于现金流量表分析目的的调查研究
Cash Flow Schedule Analysis
现金流量表的分析
Analysing for Cash Flows Statement
现金流量表的分析
Analysis of Cash Flow Statement
现金流量表分析
Analysis on and Application of the Cash Flow Statement
现金流量表的分析应用
A Comment on the Analysis of Cash Flow Statement
谈现金流量表的分析
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没有找到相关例句 Cash is the most important factor for each enterprise,cash flow statement is the financial statement which syntheticly reflect the structural situation of flowing in and flowing out of cash of enterprises.The analysis of cash flow statement means from static state data of statement to find out the law,appraises the managerial achievement of enterprise,measures the financial resources and financial risks of enterprise and predicts the prospect of enterprise,it has a very important meaning for the man who uses... Cash is the most important factor for each enterprise,cash flow statement is the financial statement which syntheticly reflect the structural situation of flowing in and flowing out of cash of enterprises.The analysis of cash flow statement means from static state data of statement to find out the law,appraises the managerial achievement of enterprise,measures the financial resources and financial risks of enterprise and predicts the prospect of enterprise,it has a very important meaning for the man who uses financial statement.现金对于每一企业都是至关重要的 ,现金流量表就是综合地反映企业现金的流入、流出结构状况的财务报表。现金流量表的分析是从静态的报表数据中找出规律 ,评价企业的经营业绩 ,衡量企业的财务资源和财务风险 ,预测企业的未来前景 ,这对财务报表使用者具有十分重要的意义 Purpose of the statement of cash flows:The primary purpose of a statement of cash flows is to provide relevant information about the cash receipts and cash payments of an enterprise during a period.As for analysis the staterment of cash flows,my paper reports:1.payment obligations ability.Measures of the enterprise's short-run and long-run ability to pay its maturing obligations.If an enterprise can not clear off the debt on time,the obligations will pull the company in difficulties.2.Payment ability,measures... Purpose of the statement of cash flows:The primary purpose of a statement of cash flows is to provide relevant information about the cash receipts and cash payments of an enterprise during a period.As for analysis the staterment of cash flows,my paper reports:1.payment obligations ability.Measures of the enterprise's short-run and long-run ability to pay its maturing obligations.If an enterprise can not clear off the debt on time,the obligations will pull the company in difficulties.2.Payment ability,measures of the enterprise' using cash to pay the other expenses except the maturing debt.现金流量表分析是在现金流量表出现以后发展起来的 ,其方法体系并不完善 ,一致性也不充分。本文主要从以下两个方面进行分析 :1 .偿债能力分析。如果企业不能按时偿还所欠债务的本息 ,那么企业的生产经营就会陷入困境 ,危及企业的生存。 2 .支付能力分析。在企业经营过程中 ,购买商品、劳务等支付的现金是必不可少的 ,如果没有足够的现金来支付这些款项 ,那么企业正常生产经营活动就不能顺利进行。 investment risk has direct ratio relations with investment profits.because currency inflation risk exists,the desired profits of investment projects will be changed,and lead to capital risk of investment projects.the following artical analysises and caculates cash flow chart,which concludes the amount of cash flow reduces instead of increase due to the currency inflation influence.furthermore,currency infation not only reduces actual NPV of investment projects,but enlarges capital risk of investment projects.... investment risk has direct ratio relations with investment profits.because currency inflation risk exists,the desired profits of investment projects will be changed,and lead to capital risk of investment projects.the following artical analysises and caculates cash flow chart,which concludes the amount of cash flow reduces instead of increase due to the currency inflation influence.furthermore,currency infation not only reduces actual NPV of investment projects,but enlarges capital risk of investment projects.投资的风险与收益成正比关系。由于通货膨胀风险的存在 ,投资项目的预期收益会发生改变 ,从而产生投资项目的资金风险。本文通过对现金流量表的分析、计算 ,得出由于通货膨胀的作用 ,税后现金流量数值上增加了 ,实质上并未增加 ,反而减少了 ,而且通货膨胀使投资项目实际净现值减少 ,加大了投资项目的资金风险。&nbsp&&&&&相关查询
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2008 CNKI-中国知网
北京市公安局海淀分局 备案号:110 1081725
&2008中国知网(cnki)
中国学术期刊(光盘版)电子杂志社现金流预测,Cash flow forecasting,音标,读音,翻译,英文例句,英语词典
说明:双击或选中下面任意单词,将显示该词的音标、读音、翻译等;选中中文或多个词,将显示翻译。
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1)&&Cash flow forecasting
现金流预测
2)&&Cash flow forecasting
现金流量预测
3)&&cash forecast
4)&&forecast interval of total cash flow
现金流量预测区间
5)&&expected cash flow
预期现金流
Based on the considering of companies, this paper analyses the relationship in a theoretical way from three points which are stock liquidity, market risk and expected cash flows.
本文基于公司角度,从股票流动性、市场风险、预期现金流三个方面对两者之间的关系进行了较为深入的理论分析;在辨析了信息披露概念、经济学动因、评价标准的基础上,对我国信息披露的现状进行了阐述;对股权融资成本、信息披露质量及其他相关因素的度量进行了详细的说明;并且利用深交所年数据,运用独立混合横截面和分年度多元回归的实证方法分析了我国上市公司信息披露质量对股权融资成本的影响。
6)&&Gray areas
现金流预警
补充资料:发育进度预测法(见发生期预测)
发育进度预测法(见发生期预测)
  发育进度预测法见发生期预测。  
说明:补充资料仅用于学习参考,请勿用于其它任何用途。&&&现金流量折现模型
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Discussion on Environmental Value in the Projects Appraisement——Based on the Cash Flow Discounting Model
项目经济评价中的环境价值——基于现金流量折现模型的理论探讨
from angles of both theory and practice, This paper analyzes and compares two main financial models assessing value of enterprise, try to illustrate that theory prove that values of enterprise counted by the cash flow discounting model and the economic profit model are equal.
本文从理论和实践紧密结合的角度,对评估企业价值的两种主要财务模型进行分析与比较,试图说明理论证明:用现金流量折现模型和经济利润模型计算出的企业价值是一致的;
The whole of the enterprise valuation applies discounted firm free cash flow model.
企业整体资产价值的评估主要应用公司自由现金流量折现模型,笔者也做了相应的介绍。
another is net present value of cash flow model.
第二类是现金流量折现模型,以实体现金流量折现(DCF)模型和经济附加值(EVA)模型为代表。
According to the features of current M&A market, the free discounted cash flow method is used to measure quantitatively the valuation of the small WSC on the basis of in-depth feasibility research on market, engineering and management.
通过分析当前并购中小水务企业的特点,论文提出在深入分析目标企业的市场、工程、管理可行性的基础上,利用企业自由现金流量折现模型来估计目标企业价值,为并购决策提供了客观、量化的判断依据。
Applying of models in the management fields can help medium and small private firms deeply dig management information , effectively integrate these information, and process it .
现金流量折现模型是一个估算企业价值的模型,在模型中要估算企业价值,就要预计未来企业销售增长情况,要预计未来现金流量,要确定折现率并计算出企业价值。
According to Discounter Cash Flow Model,the maximum of the enterprise value is the maximum of the discounter of the future cash flow.
依据现金流量折现模型,可以知道企业价值是由其未来所创造的现金流量的现值决定的。
Enterprise Value and Discounted Cash Flow Model
公司价值与折现现金流量模型
Quantitative model of discount rate on the basis of the dynamic cash flow
基于动态现金流量的折现率定量模型
Summarize the principles of the "cash flow-discounted model" and the two elements of the model.
一、概述折现现金流量估价模型的基本原理及两个基本要素。
Discussion on Environmental Value in the Projects Appraisement——Based on the Cash Flow Discounting Model
项目经济评价中的环境价值——基于现金流量折现模型的理论探讨
Part 2: Analysis in the cash flow-discounted method of enterprise valuating fitfor value management
第二部分:适应企业价值管理要求的价值评估方法——折现现金流量模型分析
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没有找到相关例句 The authors in this paper had analyzed normal methods in evaluating the enterprises' value, indicated especially the difficult problem existent in discounting models of cash flows, pointed out that main factors of effecting the results of value evaluation were cash flows forecasting, discount rate measuring and valuati put forward the frame and content of determine the enterprises' value evaluating models based on dynamic cash flows, these would have reference value in criterion to China's... The authors in this paper had analyzed normal methods in evaluating the enterprises' value, indicated especially the difficult problem existent in discounting models of cash flows, pointed out that main factors of effecting the results of value evaluation were cash flows forecasting, discount rate measuring and valuati put forward the frame and content of determine the enterprises' value evaluating models based on dynamic cash flows, these would have reference value in criterion to China's enterprises' value evaluating methods.本文对常见的企业价值评估方法进行了分析 ,重点指出乐现金流量折现模型存在的难题。指出现金流量预测、折现率量化、评估期间确定是影响价值评估结果的主要因素 ,提出了基于动态现金流量确定企业价值评估模型的框架和内容 ,对于规范我国企业价值评估方法具有参考价值。 from angles of both theory and practice, This paper analyzes and compares two main financial models assessing value of enterprise, try to illustrate that theory prove that values of enterprise counted by the cash flow discounting model and the economic profit model are equal. There are different characteristics between the two models, and then reveals why economic profit model is more favored to enterprise value appraisal experts. We hope that these analyses will enlighten them. 本文从理论和实践紧密结合的角度,对评估企业价值的两种主要财务模型进行分析与比较,试图说明理论证明:用现金流量折现模型和经济利润模型计算出的企业价值是一致的;经济利润模型和现金流量折现模型各自应用专长及经济利润模型近年来受到企业价值评估师青睐的原因。希望能给企业价值评估人员提供一些新的视角。 The residual income model is a math-physical model reflecting the inherent sharers value by the book value of company equity and the present value of expected residual income, based on the comprehensive ac- counting information. It has advantages over the traditional discounted income model. Hence, it is a very popular method in the U.S. finance field, and has got good applications in practice. The paper in detail describes the model and gives application cases combined with the domestic listed companies. 剩余收益模型是充分利用现有的会计信息,以公司权益的账面价值和预期剩余收益的现值来表示股票内在价值的数理模型。相比传统的现金流量折现模型,剩余收益模型具备很大的优点,因此成了美国财务学界近十年来非常流行的研究主题,并在实践中取得了良好的应用效果。本文对该模型进行了较详细的阐述,并以国内上市公司的实例进行了说明。&nbsp&相关查询
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2008 CNKI-中国知网
北京市公安局海淀分局 备案号:110 1081725
&2008中国知网(cnki)
中国学术期刊(光盘版)电子杂志社活动现金流,中文例句,英文例句-词都网
说明:双击或选中下面任意单词,将显示该词的音标、读音、翻译等;选中中文或多个词,将显示翻译。
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Cash flow table--preparing method of cash flow from
现金流量表——经营活动现金流量编制方法
The commercial department cuts prices to promote sales the active cash curre
商业企业让利促销活动现金流量分析
A Study on the Computerization of the Chessboard Pattern Operating Activities of the Cash Flow S
棋盘式经营活动现金流量表的电算化研究
Corporation Operating Cash Flow Forecasting Using Grey Topological M
企业经营活动现金流量预测的灰色拓扑模型
Research on the Information Content of Total Accruals and Cash Flow from O
总应计项目与营业活动现金流量信息内涵之研究
Consideration with calculating cash flow from operations--starting with basic
对计算企业经营活动现金流量的一点思考——从基本会计等式出发
cash flows from financing activities, and net increase or decrease of cash
来自筹资活动的现金流量、现金净增加或净减少
Application of cash flux table to business act
现金流量表在企业经营活动中的应用
In direct method, the individual cash inflows and outflows from operating activities are shown separately.
在直接法下,经营活动的每一项现金流入和现金流出都单独列示.
The statement of cash flows is a statement that shows the cash effects on operating, investing, and financing activities of company for accounting period.
现金流量表是用来表明企业一定时期的营业活动、投资活动和筹资活动的现金效果的报表。
The procedure in determining cash flows of financing activities is similar to that in determining cash flows of investing activities.
确定筹资活动产生的现金流量的程序与确定投资活动产生的现金流量相类似。
The indirect method shows the reconciliation from net income to cash flow from operations.
间接法将净利润调节为经营活动的现金流量。
Comparing and Adjusting Discuss of the Cash Flow from Operating both Chinese and J
中日经营活动产生的现金流量表比较与调整
Reflections on the Teaching of Currency Flow in Business A
间接法编列经营活动现金净流量的教学思考
But in China, the cash payments for interests are classified as cash flows from financing activities.
不过,在中国,偿付利息支付的现金是归入筹资活动的现金流量的。
discounted cash flow rate of retur
贴现现金流动收益率
Reasons for the difference between net income and net cash flow from operating activities
净收益与经营活动的现金净流量之间出现差异的原因
In the Operating Activities section of the indirect SCF, why is depreciation expense added back into the cash flow?
在间接法现金流量表的营运活动部分,为什么折旧费用要重新加回现金流中? 上传我的文档
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