جزییات کتاب
Content: Chapter 1 Understanding How Cash Flows in a Business (pages 1–20): Chapter 2 Understanding Cash Flows Properly (pages 21–46): Chapter 3 Start?up, Growth, Mature, Decline (pages 47–58): Chapter 4 Restating the Cash Flows of a Real Business (pages 59–82): Chapter 5 Restating US GAAP Cash Flows (pages 83–98): Chapter 6 Analysing the Cash Flows of Mature Businesses (pages 99–133): Chapter 7 Analysing the Cash Flows of Growth Businesses (pages 135–152): Chapter 8 Growth and Mature – Further Analysis Issues (pages 153–169): Chapter 9 Analysing the Cash Flows of Start?up Businesses (pages 171–178): Chapter 10 Analysing the Cash Flows of Decline Businesses (pages 179–183): Chapter 11 What to do about Bad Cash Flows (pages 185–189): Chapter 12 Cash Versus Profit as a Measure of Performance (pages 191–200): Chapter 13 Cash Flow Analysis and Credit Risk (pages 201–214): Chapter 14 Cash Flow Analysis and Performance Measurement (pages 215–221): Chapter 15 Analysing Direct Cash Flow Statements (pages 223–230): Chapter 16 Generating a Cash Flow Summary from Profit and Loss Account and Balance Sheet Data (pages 231–246): Chapter 17 Summarising Historic Free Cash Flow (pages 247–252): Chapter 18 Introduction (pages 253–262): Chapter 19 Spreadsheet Risk (pages 263–274): Chapter 20 Good Practice Spreadsheet Development (pages 275–293): Chapter 21 The Use of Assumptions in Spreadsheet Models (pages 295–304):