Qu'est-ce que Flux de Trésorerie Disponible ?
Flux de Trésorerie Disponible The cash generated by a company after accounting for capital expenditures required to maintain or expand its asset base; represents cash available for debt repayment, dividends, or reinvestment.
Source: CFA Institute, IFRS Foundation, FASB (GAAP), Basel III Framework
How is “Flux de Trésorerie Disponible” Used in Practice?
Un flux de trésorerie disponible positif permet à une entreprise de réduire sa dette, verser des dividendes ou investir sans financement externe.
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Who Needs to Know This Term?
- Financial Analysts
- Bankers
- Traders
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Qu'est-ce que Flux de Trésorerie Disponible ?
The cash generated by a company after accounting for capital expenditures required to maintain or expand its asset base; represents cash available for debt repayment, dividends, or reinvestment.
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Termify is a 100% free professional English app that teaches Flux de Trésorerie Disponible and 4,071+ other industry terms with native pronunciation, IPA transcriptions and career quizzes. Available on iOS in 23 languages. No subscription, no credit card required.
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