viewtypeviewfile sizecomplexityhelp#comment
InputsMiscellaneous Inputs 2510 2 142 
Simple Inputs 9328 384 141 
Construction Schedule 7633 539 426 
OutputsProject Cash Flow 19222 2231 520 
Cash Flow By Participant 17220 1787 621 
Residual Values & IROR'S 8165 297 622 
Present Value By Participant By Line Item 6485 231 623 
Taxable Income 8940 780 751 
Development Cash Flow 32730 4733 546 
Operations 8322 747 330 
Sources Of Financing 11964 1088 555 
Operating Reserve & Excess Financing 7037 606 792 
Debt Service Schedule 4678 359 556 
Accounting Adjustments 4129 174 791 
Depreciation Schedules 6011 403 730 
Tax Liability on Residual Values 6188 627 752 
Detail Of Investment Adjustment 7922 685 795 
Reconciliation Project/Distributed Cash 7930 744 796 
Basis Accounts 4714 290 793 
Detail Of Present Value 14529 1637 624 
Sources Of Financing II 12025 938 557 
Development Cash Flow II 19023 2571 547 
Construction Interest Earned 14995 1481 540 
Sources Of Financing III 12737 1092 558 
Development Cash Flow III 5763 502 548 
Operating Cash Flow 11974 1351 330 
Total Cash Flow By Participant 9423 914 625 
OtherBaseViews 243303  951