Wednesday 9 September 2009

Cash Flow Calculations

Net income
+ depreciation
working capital from operations
- net increase in current assets
+ net increase in current liabilities
cash flow from operations
- net increase in gross fixed assets
+ net increase in debt & equity invested
- dividends paid
net cash flow
+ beginning cash balance
- required ending cash balance
net cash surplus or borrowing required




http://w4.stern.nyu.edu/berkley/docs/Glenn_Okun.ppt#19

Business Model Analysis

No comments: