SiteMap
St. Lucie Warehouse
viewtype
view
file size
complexity
help#
comment
Outputs
Project Cash Flow
21645
2783
520
Cash Flow By Participant
11583
1216
621
Residual Values & IROR'S
6086
168
622
Present Value By Participant By Line Item
4163
95
623
Taxable Income
8657
664
751
Development Cash Flow
10408
1269
546
Operations
4739
94
330
Sources Of Financing
3690
33
555
Operating Reserve & Excess Financing
7790
891
792
Debt Service Schedule
6620
368
556
Depreciation Schedules
6696
288
730
Tax Liability on Residual Values
5595
515
752
Operating Accounts For Bridge/Const. Loan
7806
591
794
Detail Of Investment Adjustment
8166
731
795
Reconciliation Project/Distributed Cash
9262
998
796
Basis Accounts
4300
214
793
Detail Of Present Value
7780
674
624
Sources Of Financing II
3856
163
557
Development Cash Flow II
5921
519
547
Construction Interest Earned
5430
311
540
Sources Of Financing III
5781
338
558
Development Cash Flow III
8454
934
548
Operating Cash Flow
14956
1676
330
Total Cash Flow By Participant
9880
1022
625
Inputs
Simple Inputs
4125
131
141
Simple Inputs II
3194
20
142
Construction Schedule
5536
436
426
Rent Up Cash Flow
4342
124
337
Mortgages
3583
27
553
Other
BaseViews
165305
951