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Outputs
Project Cash Flow
27254
3135
520
Cash Flow By Participant
21391
2515
621
Residual Values & IROR'S
7977
296
622
Present Value By Participant By Line Item
6034
217
623
Taxable Income
10150
1032
751
Development Cash Flow
7475
931
546
Operations
11482
1335
330
Capital Replacement
5381
273
336
Sources Of Financing
3295
43
555
Operating Reserve & Excess Financing
7002
741
792
Debt Service Schedule
10451
1029
556
Depreciation Schedules
6400
384
730
Tax Liability on Residual Values
6347
650
752
Operating Accounts For Bridge/Const. Loan
9756
797
794
Detail Of Investment Adjustment
5010
489
795
Reconciliation Project/Distributed Cash
8487
949
796
Basis Accounts
4696
294
793
Detail Of Present Value
13376
1522
624
Sources Of Financing II
3154
35
557
Development Cash Flow II
3826
73
547
Sources Of Financing III
4287
251
558
Development Cash Flow III
6525
677
548
Operating Cash Flow
19219
2166
330
Total Cash Flow By Participant
12702
1378
625
Inputs
Simple Inputs
5866
198
141
Simple Inputs II
2495
6
142
Entity Roles
4681
157
626
Variances
6036
296
710
Unit Mix
5611
240
339
Other
BaseViews
201455
951