
Cash Flow Statement
A cash flow statement tracks a business’s cash inflows and outflows over a specific period, divided into three sections. Operating Activities cover cash from core income-generating operations, including cash equivalents like current assets and liabilities. Investing Activities reflect cash flows from buying or selling long-term assets, such as equipment or property. Financing Activities involve changes in equity capital or borrowings, like issuing shares or repaying loans. Together, these sections provide a clear picture of how a company manages its cash, revealing its financial health, liquidity, and ability to fund operations, investments, and obligations effectively over time.
Related Terms
Ask Or Offer Price
The ask or offer price is the price at which a seller is willing to...
Gamma
Gamma (Γ) is a second-order derivative that measures the rate of change of an option's...
Flipping
Flipping refers to the act of buying and quickly selling an asset to make a...
Differential Voting Rights
Differential Voting Rights (DVRs) are special types of shares issued by companies that provide shareholders...
Listing
Listing is the process where a private company makes its shares available for public trading...
EBITDA
EBITDA stands for Earnings Before Interest, Taxes, Depreciation, and Amortization. It is a financial metric...