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cash_flow

cash_flow (routine)

Calculates analytics for a series of grouped cash flows

Introduced in release: 1.0
Component: Business Calculator
Purpose: This is a general purpose cash flow routine. It takes a series of grouped cash flows and calculates the sum, net present value, net uniform series, and net future value of the cash flows.

Notes: This is a business calculator/spreadsheet type of function and should not be confused with the cash flow routines in the library specifically for fixed income securities.

Results: The function returns the calculated values accurate to as many places as supported by a double precision value.

Error Conditions: Returned values should be ignored for a non-zero status. See Errors.

Last Mod Date: 01/03/1992© 2001 TIPS, Inc.Doc Version: 5.0