A statement by the Minister's Special Adviser on Media Oluyinka Akintunde, explained that Nigeria was doubly affected by illicit
financial flows as a result of corruption and tax evasion.
Not exact matches
Such statements include those regarding our expectations
as to future:
financial position, liquidity, cash
flows and results of operations; business prospects; transactions and projects; operating costs; operations and operational results including capital investment and expected VCI; and budgets.
Important factors that could cause actual results to differ materially from those reflected in such forward - looking statements and that should be considered in evaluating our outlook include, but are not limited to, the following: 1) our ability to continue to grow our business and execute our growth strategy, including the timing, execution, and profitability of new and maturing programs; 2) our ability to perform our obligations under our new and maturing commercial, business aircraft, and military development programs, and the related recurring production; 3) our ability to accurately estimate and manage performance, cost, and revenue under our contracts, including our ability to achieve certain cost reductions with respect to the B787 program; 4) margin pressures and the potential for additional forward losses on new and maturing programs; 5) our ability to accommodate, and the cost of accommodating, announced increases in the build rates of certain aircraft; 6) the effect on aircraft demand and build rates of changing customer preferences for business aircraft, including the effect of global economic conditions on the business aircraft market and expanding conflicts or political unrest in the Middle East or Asia; 7) customer cancellations or deferrals
as a result of global economic uncertainty or otherwise; 8) the effect of economic conditions in the industries and markets in which we operate in the U.S. and globally and any changes therein, including fluctuations in foreign currency exchange rates; 9) the success and timely execution of key milestones such
as the receipt of necessary regulatory approvals, including our ability to obtain in a timely fashion any required regulatory or other third party approvals for the consummation of our announced acquisition of Asco, and customer adherence to their announced schedules; 10) our ability to successfully negotiate, or re-negotiate, future pricing under our supply agreements with Boeing and our other customers; 11) our ability to enter into profitable supply arrangements with additional customers; 12) the ability of all parties to satisfy their performance requirements under existing supply contracts with our two major customers, Boeing and Airbus, and other customers, and the risk of nonpayment by such customers; 13) any adverse impact on Boeing's and Airbus» production of aircraft resulting from cancellations, deferrals, or reduced orders by their customers or from labor disputes, domestic or international hostilities, or acts of terrorism; 14) any adverse impact on the demand for air travel or our operations from the outbreak of diseases or epidemic or pandemic outbreaks; 15) our ability to avoid or recover from cyber-based or other security attacks, information technology failures, or other disruptions; 16) returns on pension plan assets and the impact of future discount rate changes on pension obligations; 17) our ability to borrow additional funds or refinance debt, including our ability to obtain the debt to finance the purchase price for our announced acquisition of Asco on favorable terms or at all; 18) competition from commercial aerospace original equipment manufacturers and other aerostructures suppliers; 19) the effect of governmental laws, such
as U.S. export control laws and U.S. and foreign anti-bribery laws such
as the Foreign Corrupt Practices Act and the United Kingdom Bribery Act, and environmental laws and agency regulations, both in the U.S. and abroad; 20) the effect of changes in tax law, such
as the effect of The Tax Cuts and Jobs Act (the «TCJA») that was enacted on December 22, 2017, and changes to the interpretations of or guidance related thereto, and the Company's ability to accurately calculate and estimate the effect of such changes; 21) any reduction in our credit ratings; 22) our dependence on our suppliers,
as well
as the cost and availability of raw materials and purchased components; 23) our ability to recruit and retain a critical mass of highly - skilled employees and our relationships with the unions representing many of our employees; 24) spending by the U.S. and other governments on defense; 25) the possibility that our cash
flows and our credit facility may not be adequate for our additional capital needs or for payment of interest on, and principal of, our indebtedness; 26) our exposure under our revolving credit facility to higher interest payments should interest rates increase substantially; 27) the effectiveness of any interest rate hedging programs; 28) the effectiveness of our internal control over
financial reporting; 29) the outcome or impact of ongoing or future litigation, claims, and regulatory actions; 30) exposure to potential product liability and warranty claims; 31) our ability to effectively assess, manage and integrate acquisitions that we pursue, including our ability to successfully integrate the Asco business and generate synergies and other cost savings; 32) our ability to consummate our announced acquisition of Asco in a timely matter while avoiding any unexpected costs, charges, expenses, adverse changes to business relationships and other business disruptions for ourselves and Asco
as a result of the acquisition; 33) our ability to continue selling certain receivables through our supplier financing program; 34) the risks of doing business internationally, including fluctuations in foreign current exchange rates, impositions of tariffs or embargoes, compliance with foreign laws, and domestic and foreign government policies; and 35) our ability to complete the proposed accelerated stock repurchase plan, among other things.
Tosi was apparently a
financial wiz internally, creating a hedge - fund style investment fund for Airbnb with stocks, currencies, and other investments that contributed
as much
as 30 % of the company's cash
flow, Bloomberg reports.
Therefore, the entity controlling the
flow of «monetization» is the Treasury
as it determines the quantity of net
financial asset issuance.
SoapWorks has doubled its revenues each year since its launch, but,
as is typical at growing companies, Antonetti and husband Karp, who serves
as chief
financial officer, are grappling with chronic cash -
flow problems.
Around $ 735 billion
flowed out of emerging markets across the world in 2015,
as the U.S. moved towards ending the period of ultra-loose monetary policy that it had adopted after the 2008
financial crash.
But AMRO said its outlook is not without risks
as it warned of the potential impact of faster - than - expected monetary policy tightening on global
financial conditions, and escalation of global trade tensions, on capital
flows and borrowing costs.
Fundbox uses a proprietary algorithm to gauge likelihood of repayment, starting with your
financial data — including accounts receivables, client
financial statements, cash
flow and payment history — and moving on to public data such
as credit ratings, government information and social media accounts.
In fact, a prominent study from the
financial services company U.S. Bank found that
as many
as 82 percent of startups and small businesses fail due to poor cash -
flow management.
The ratings on ACT reflect Standard & Poor's view of the company's position
as a leader in the fragmented and competitive convenience store (c - store) industry in North America,
as well
as in the more concentrated Scandinavian market; its solid profitability and cash
flow; and its intermediate
financial risk profile.
PARIS, April 27 (Reuters)- Global foreign direct investment (FDI)
flows fell 18 percent in 2017 to $ 1.41 trillion, due partly to a sharp decline in
flows into the United States
as the prospect of tax reform reduced the incentive to engage in
financial and corporate restructuring.
Outline your family's cash -
flow needs
as well
as financial goals.
As the chief financial officer of a maturing business, LaPoure lists protecting profitability and cash flow as his two top prioritie
As the chief
financial officer of a maturing business, LaPoure lists protecting profitability and cash
flow as his two top prioritie
as his two top priorities.
Given the trouble the company got itself into under previous CEO John Manzoni — overinvesting in North America and failing to control costs at its far - flung global ventures — the theme for 2013 will continue to be divestitures and
financial discipline — «living within its cash
flow,»
as Kvisle likes to put it.
As part of our initial analysis, we asked to see
financial statements, and the owner handed us a three - ring binder containing monthly
financials — meaning an income statement, balance sheet and cash -
flow projections.
You need to know the
financials before getting into the business,
as well
as the cost it will take to achieve the break - even point and generate positive cash
flow.
The chapter on
financial controls is specific on points such
as how to prepare monthly income statements and cash -
flow projections, and how and why to fill out monthly variance reports.
Financial planners acknowledge that it can take
as long
as six months for parents to grasp how their cash
flow looks after a baby is on the scene.
Free cash
flow (FCF) is a measure of a company's
financial performance, calculated
as operating cash
flow minus capital expenditures.
During periods of adverse changes in general economic, industry or competitive conditions, such
as we experienced in calendar years 2008 and 2009, some of our vendors may experience serious cash
flow issues, reductions in available credit from banks, factors or other
financial institutions, or increases in the cost of capital.
Just
as debt deflation diverts income to pay interest and other
financial charges — often at the cost of paying so much corporate cash
flow that assets must be sold off to pay creditors — so the phenomenon leads to stripping the natural environment.
These integrated audits serve
as a basis for the auditors» opinions included in the annual report to stockholders addressing whether the
financial statements fairly present the Company's
financial position, results of operations, and cash
flows in conformity with U.S. generally accepted accounting principles and whether the Company's internal control over
financial reporting was effective
as of December 31, 2007.
This includes the
financial details of your business such
as an income statement, cash
flow projections, and a balance sheet.
Nevertheless, she said, Singapore «will not tolerate its
financial system being used
as a refuge or conduit for illicit fund
flows.»
There are a range of factors that affect the
flows of goods and services across international borders, but the sustained outflow of funds from some emerging economies witnessed in recent years may have
as much to do with the limited intermediation capacity of the local
financial systems
as with the scarcity of profitable domestic investment opportunities.
The metric of «cash
flow from operations
as a percentage of revenue» has been used for more than five years
as a
financial metric in HP's long - term incentive programs, and HP believes that it continues to be a key metric that both drives and demonstrates improved
financial performance within the company.
The model is both objective, using elements such
as volatility of past operating revenues,
financial strength, and company cash
flows, and subjective, including expected equities market returns, future interest rates, implied industry outlook and forecasted company earnings.
As the UK prepares to begin negotiating its exit from the EU, the business focus has been on trade,
financial flows and whether the UK will continue access to the single market.
We look at lending
as more than a financing arrangement; we believe it can be used
as a tool to help you achieve your
financial goals, providing you with control over your cash
flow.
Lenders will also want to see a strong business plan, which will normally include
financial statements, such
as balance sheets and cash
flow, and tax returns.
The
flow of cheap money didn't stop in the U.S.
Financial experts say it ended up chasing higher returns all over the world, especially in emerging markets, where investors supplied the capital for projects in places such
as China and Brazil and contributed to the excesses in property markets including London; Sydney, Australia; and Vancouver, Canada.
The end of this free -
flowing financial bounty, however, could have consequences down the road for investors too — including regular people who never got to ride the valuation rocket known
as Airbnb to $ 10 billon and beyond, but who still have their personal assets or retirement plans tethered to big institutional investors.
Yet most discussions treat the balance of payments and exchange rates
as if they were determined purely by commodity trade and «purchasing power parity,» not by the
financial flows and military spending that actually dominate the balance of payments.
You can input different life events such
as a wedding or home purchase in your cash
flow statement and recalculate your
financial future to see how you'll do.
These audits serve
as a basis for the auditors» opinions included in the annual report to stockholders addressing whether the
financial statements fairly present our
financial position, results of operations, and cash
flows in conformity with U.S. generally accepted accounting principles and whether our internal control over
financial reporting was effective
as of December 31, 2010.
Bitcoin and other cryptocurrencies have the potential to aid in the
flow of capital
as it bypasses traditional
financial channels like banks and credit cards and does so in a much cheaper and faster way.
In fact, we think there are four major factors that will influence interest rates around the world: changing demographic trends, innovations in technology and energy,
financial conditions
as related to leverage, liquidity and cash
flow, and monetary policy.
Other metrics such
as cash
flow,
financial conditions, history, projections etc may be considered.
Traditional structures have disappeared, including: specialists who actually made orderly markets, standing ready to buy and sell to keep markets
flowing; the big
financial firms
as partnerships, where executives» net worth was tied to the stability
as well
as profitability of the firm.»
U.S. nonfinancial companies has $ 1.8 trillion in cash on their books at the end of the second quarter, according to the Federal Reserve's quarterly «
flow of funds» report (now known formally
as the «
Financial Accounts of the United States»).
You may be restructuring to meet
financial goals and objectives, such
as improving cash
flow or profitability of the business.
Demand categories such
as gold used in
financial transactions tends to be ignored by the analysts, yet this is still gold
flowing into China and in terms of gold movement from West to East remains hugely relevant.
FRA: Given the potential in Europe for being the epicentre of perhaps the next
financial crisis
as Peter Boockvar mentions, could we see international capital
flows come from Europe and elsewhere to the U.S. markets especially
as you mentioned there could be pressure on the long end of the yield curve with the movement into equities.
The challenges are to pay down a $ 272,000 mortgage with a 30 - year amortization which costs her $ 1,091 per month, to get more income from her $ 580,609 of
financial assets, and to make the most of Canada Pension Plan benefits which could start to
flow as early
as her age 60 next year.
Non-GAAP
financial measures, such
as Adjusted EBITDA, adjusted net income, adjusted development margin, and adjusted free cash
flow are reconciled in the Press Release Schedules that follow.
«Companies need to make tracking cash
flow a priority, and cash
flow projections are a big part of that,» said Harris, who works
as a strategic adviser and
financial consultant to many small businesses.
Cash
flow per share is the after - tax earnings plus depreciation on a per - share basis that functions
as a measure of a firm's
financial strength.
Other metrics such
as cash
flow,
financial conditions, history and so on may be considered if it enhances the options.
News
flow from Germany's
financial sector was less positive,
as one of the country's largest banks endured a difficult month, rocked by an unexpectedly large claim from US regulators related to past mis - selling of mortgage products.