企业整体自由现金流量 Free Cash Flow of Firm
三是建立整体现金流量预测区间,使企业更好地做出财务决策。
The third one is to set up the forecast interval of total cash flow, which could let the company make better financial decision.
二是建立了企业整体现金流量风险约束条件,为企业财务风险规避提供依据。
It can forecast the risk caused by the fluctuation of cash flow and provide foundation of risk elusion.
本经济分析包含三种方案,待确定后提交项目开发整体现金流量分析(即项目开发动态分析)。
The decision made to the three of financial forecasts in this analysis will be followed by the overall cash flow analysis (i. e. financial sensitive analysis) of the project development.
应用推荐