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Outputs
Project Cash Flow
18892
2143
520
Cash Flow By Participant
14049
1452
621
Residual Values & IROR'S
7820
267
622
Present Value By Participant By Line Item
5647
181
623
Taxable Income
9194
780
751
Development Cash Flow
10150
1057
546
Operations
7944
741
330
Capital Replacement
4353
203
336
Sources Of Financing
4533
308
555
Operating Reserve & Excess Financing
4730
479
792
Debt Service Schedule
6721
521
556
Accounting Adjustments
3134
24
791
Depreciation Schedules
5936
364
730
Tax Liability on Residual Values
7919
647
752
Detail Of Investment Adjustment
5258
473
795
Reconciliation Project/Distributed Cash
7582
689
796
Basis Accounts
4564
279
793
Detail Of Present Value
11947
1282
624
Sources Of Financing II
4485
230
557
Development Cash Flow II
6869
548
547
Construction Interest Earned
5155
290
540
Sources Of Financing III
4757
305
558
Development Cash Flow III
4048
84
548
Operating Cash Flow
12963
1440
330
Total Cash Flow By Participant
8633
803
625
Inputs
Simple Inputs
7934
243
141
Simple Inputs II
2501
2
142
Financing Fees
3159
17
580
Construction Schedule
5005
403
426
Construction Financing
3193
45
542
Entity Roles
4433
130
626
Depreciation
4260
59
730
Other
BaseViews
167714
951