2015Jurnal Menara Ekonomi Penelitian dan Kajian Ilmiah Bidang EkonomiOpen access

Kemampuan Komponen Arus Kas untuk Memprediksi Dividen Masa Depan

Reni Farwitawati

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Abstract

Cash flow statement is a report that provides information about the company's cash receipts and payments during a certain period. The report is useful to the ability of a company to obtain a net cash inflows in the future, estimating the company's ability to pay debt and dividends, to evaluate the company's need for external financing, equalize the difference between net income reported in the cash and non-cash from investing activities and financing during the period. Cash flow statement explains changes in cash a company during the period. When companies invest in short-term investments are highly liquid, the report describes the changes during the period in terms of cash and equivalents. The research looked at the components of cash flow ability to predict future dividends. The results showed operating cash inflows and outflows surgery can predict future cash flows

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What this paper is about

Cash flow statement is a report that provides information about the company's cash receipts and payments during a certain period. The report is useful to the ability of a company to obtain a net cash inflows in the future, estimating the company's ability to pay debt and dividends, to evaluate the company's need for external financing, equalize the difference between net income reported in the cash and non-cash from investing activities and financing during the period. Cash flow statement explains changes in cash a company during the period. When companies invest in short-term investments are highly liquid, the report describes the changes during the period in terms of cash and equivalents. The research looked at the components of cash flow ability to predict future dividends. The results showed operating cash inflows and outflows surgery can predict future cash flows

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Available abstract

Cash flow statement is a report that provides information about the company's cash receipts and payments during a certain period. The report is useful to the ability of a company to obtain a net cash inflows in the future, estimating the company's ability to pay debt and dividends, to evaluate the company's need for external financing, equalize the difference between net income reported in the cash and non-cash from investing activities and financing during the period. Cash flow statement explains changes in cash a company during the period. When companies invest in short-term investments are highly liquid, the report describes the changes during the period in terms of cash and equivalents. The research looked at the components of cash flow ability to predict future dividends. The results showed operating cash inflows and outflows surgery can predict future cash flows

Key concepts: Cash on cash return, Cash and cash equivalents, Cash flow statement, Operating cash flow, Forecast period, Cash flow, Cash flow forecasting, Cash management

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Kemampuan Komponen Arus Kas untuk Memprediksi Dividen Masa Depan — Research Paper | ScholarLens