cash flow 的音标为:[ˈkæʃ fluː] ,意思是“现金流”。
速记技巧:可以尝试使用一些简短的字母缩写来速记这个单词,例如:C = cash,F = flow。这样,cash flow就可以简写为CF。
请注意,这只是一种速记方法,实际应用中还需要根据具体情况进行判断和调整。
Cash Flow这个词的英文词源可以追溯到拉丁语“causam”和“facere”,意为“原因”和“做”。这个词在英语中用来描述企业在一定期间内现金流入和流出的状况。
变化形式:名词形式有cash flow,形容词形式有cashy。
相关单词:
1. cashier:意为“收银员”,因为负责管理现金,所以常用来比喻“结账”或“被解雇”。
2. currency:意为“货币”,因为现金是流通的,所以“现金”也常用来指代“流通性”。
3. cashiering:意为“被解雇”,与cashier有关。
以上内容仅供参考,建议查阅专业的英语词典或英语语料库获取更准确的信息。
常用短语:
1. cash flow statement
2. operating cash flow
3. capital cash flow
4. free cash flow
5. cash flow from investing activities
6. cash flow from financing activities
7. cash flow deficit
例句:
1. The company"s cash flow statement showed a significant increase in operating cash flow.
2. The capital cash flow report showed a significant investment in new equipment.
3. The free cash flow for the quarter was negative due to high capital expenditures.
4. The cash flow from investing activities showed a significant increase in cash from sales of products.
5. The cash flow from financing activities was positive due to a large dividend payment.
6. The company"s cash flow deficit for the year is expected to be $5 million.
英文小作文:
Cash Flow is an Important Metric to Track
Cash flow is a crucial metric for any business to monitor and understand its financial health. It measures the amount of money that a company generates from its operations, investments, and financing activities. Understanding cash flow helps businesses identify areas where they can improve their efficiency and identify opportunities for growth and expansion.
Operating cash flow represents the amount of money a company generates from its core operations and is typically the primary source of cash for most businesses. Capital cash flow, on the other hand, represents the amount of money invested in new equipment, facilities, and other long-term assets. Free cash flow is the amount of money left over after capital expenditures, dividends, and other financial obligations are taken into account.
A healthy cash flow can help businesses weather economic downturns and maintain their operations even when revenues are low. Conversely, a negative cash flow can indicate that a business is facing financial difficulties and may need to restructure its operations or seek external funding to stay afloat. Therefore, it is essential for businesses to monitor their cash flow closely and take appropriate actions to ensure its sustainability and growth.