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InputsSimple Inputs 10795 425 141 
Unit Mix 6928 343 339 
Alternative Inputs 8345 1061 810 
OutputsProject Cash Flow 24245 3245 520 
Cash Flow By Participant 24748 3270 621 
Residual Values & IROR'S 10614 346 622 
Present Value By Participant By Line Item 7617 300 623 
Taxable Income 11304 1148 751 
Development Cash Flow 9441 1110 546 
Operations 8971 871 330 
Capital Replacement 5487 273 336 
Sources Of Financing 4165 201 555 
Operating Reserve & Excess Financing 7160 696 792 
Debt Service Schedule 9599 899 556 
Accounting Adjustments 3961 131 791 
Depreciation Schedules 7276 458 730 
Tax Liability on Residual Values 8227 697 752 
Operating Accounts For Bridge/Const. Loan 9155 697 794 
Detail Of Investment Adjustment 8991 891 795 
Reconciliation Project/Distributed Cash 9733 1134 796 
Basis Accounts 5284 361 793 
Detail Of Present Value 17183 2082 624 
Sources Of Financing II 4119 177 557 
Development Cash Flow II 4836 287 547 
Construction Interest Earned 4654 327 540 
Sources Of Financing III 5784 377 558 
Development Cash Flow III 7521 768 548 
Operating Cash Flow 16746 2144 330 
Total Cash Flow By Participant 12419 1371 625 
OtherBaseViews 232299  951