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Chapter 4 Financial Performance Indicators and Measures

Chapter 4 Financial Performance Indicators and Measures

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Cash Flow = (General Funds Revenues + Special Funds Revenues – General Funds Current Expenditures – Special Funds Current Expenditures); and Interest = Interest on Long-Term Debt for Governmental and Business-Type Activities. Debt Service Coverage Ratio This ratio compares cash flows to all debt repayments, both interest and principal.

  General, Terms, Financial, Long, Debt, Term debt

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