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InputsSimple Inputs 9262 229 141 
Alternative Inputs 18560 1021 810 
OutputsProject Cash Flow 17281 2012 520 
Cash Flow By Participant 11009 1124 621 
Residual Values & IROR'S 7420 255 622 
Present Value By Participant By Line Item 5006 158 623 
Taxable Income 8352 716 751 
Development Cash Flow 5615 647 546 
Operations 9256 1002 330 
Sources Of Financing 3182 33 555 
Operating Reserve & Excess Financing 4853 473 792 
Debt Service Schedule 6392 494 556 
Depreciation Schedules 6358 377 730 
Tax Liability on Residual Values 6186 643 752 
Operating Accounts For Bridge/Const. Loan 6434 430 794 
Detail Of Investment Adjustment 4817 379 795 
Reconciliation Project/Distributed Cash 7341 655 796 
Basis Accounts 4496 270 793 
Detail Of Present Value 9685 1112 624 
Sources Of Financing II 3193 31 557 
Development Cash Flow II 3936 72 547 
Construction Interest Earned 3707 155 540 
Sources Of Financing III 3921 171 558 
Development Cash Flow III 5043 487 548 
Operating Cash Flow 11817 1367 330 
Total Cash Flow By Participant 7998 751 625 
OtherBaseViews 149817  951