现金流入量

  • 网络cash inflow
现金流入量现金流入量
  1. 如果每年的现金流入量是相同的,利用年金现值系数表可简化净现值的计算。

    If the cash inflows of each year are same , the computation of NPV can be simplified by using the table of present value of annuity .

  2. 资产用现值计价的基本思路,就是将资产所带来的未来现金流入量作为收入,从中扣除贴现率代表的利润水平,以投入价值(本金)作为资产的价值。

    The basic idea of calculating capital by present value is to take the future cash amount from the capital as the income , deduct the profit level standing for the rate of discount , take input value ( capital ) as the asset value .