전문 번역가, 번역 회사, 웹 페이지 및 자유롭게 사용할 수 있는 번역 저장소 등을 활용합니다.
neto naudas līdzekļi
net cash
마지막 업데이트: 2014-11-21
사용 빈도: 1
품질:
neto naudas maiņas atšķirība
foreign exchange gain/loss, net
마지막 업데이트: 2014-11-05
사용 빈도: 1
품질:
neto naudas plūsma no darbības
net cash flow from operations
마지막 업데이트: 2014-11-21
사용 빈도: 1
품질:
neto naudas plūsma no pamatdarbības attīstījās šādi.
the net cash flow from operating activities developed as follows:
마지막 업데이트: 2014-11-21
사용 빈도: 1
품질:
iznomātāja neto naudas ieguldījuma atlikumu attiecībā uz finanšu nomu.
the lessor's net cash investment outstanding in respect of the finance lease.
마지막 업데이트: 2014-11-21
사용 빈도: 1
품질:
attiecīgajā periodā neto naudas plūsma no pamatdarbības ievērojami svārstījās.
the net cash flow from operating activities fluctuated significantly in the period considered.
마지막 업데이트: 2014-11-21
사용 빈도: 1
품질:
neto naudas saņemšana: starpība starp naudas nāk un iet ārā.
net cash receipt: difference between money coming in and going out.
마지막 업데이트: 2018-02-13
사용 빈도: 1
품질:
no 2006. līdz 2007. gadam pieauga neto naudas plūsma no pamatdarbībām.
the net cash-flow from operating activities increased between 2006 and 2007.
마지막 업데이트: 2014-11-21
사용 빈도: 2
품질:
neto naudas plūsma no pamatdarbības 2005. gadā bija gandrīz 367 miljoni euro.
the net cash flow from operating activities was almost eur 367 million in 2005.
마지막 업데이트: 2014-11-21
사용 빈도: 1
품질:
neto naudas plūsma no pamatdarbības 2008. gadā bija apmēram 27000 miljoni euro.
the net cash flow from operating activities stood at around eur 27000 in 2008.
마지막 업데이트: 2014-11-21
사용 빈도: 1
품질:
neto naudas plūsma no pamatdarbības 2006. gadā bija negatīva — eur 18,5 miljoni.
the net cash flow from operating activities was negative at 18,5 million eur in 2006.
마지막 업데이트: 2014-11-12
사용 빈도: 1
품질:
tā tomēr nav paturējusi posteni “neto naudas līdzekļi”, jo tajā ir deficīts.
it did not, however, accept the item ‘net cash’, since that item was in deficit.
마지막 업데이트: 2014-11-21
사용 빈도: 1
품질:
aplēstās nākotnes neto naudas plūsmas, kas rodas no attiecīgā aktīva, diskontēšanu; vai,
discounting estimated future net cash flows from the asset; or
마지막 업데이트: 2014-11-12
사용 빈도: 1
품질:
atlasītie kopienas ražošanas nozares ražotāji aplūkojamajā periodā piedzīvoja neto naudas līdzekļu pieplūdumu no pamatdarbības.
the sampled community industry producers recorded a net cash inflow from operating activities during the period considered.
마지막 업데이트: 2014-11-21
사용 빈도: 1
품질:
atlasītie kopienas ražošanas nozares ražotāji reģistrēja negatīvu ienākošās neto naudas plūsmu no saimnieciskās darbības pārbaudāmajā periodā.
the sampled community industry producers recorded a declining net cash inflow from operating activities during the period under examination.
마지막 업데이트: 2014-11-18
사용 빈도: 1
품질:
neto naudas plūsma no pamatdarbības 2008. gadā bija pozitīva – eur 9,3 miljoni.
the net cash flow from operating activities was positive at eur 9,3 million in 2008.
마지막 업데이트: 2014-11-21
사용 빈도: 1
품질:
arī es 14 valstīs atlasītie kopienas ražošanas nozares ražotāji reģistrēja negatīvu ienākošās neto naudas plūsmu no saimnieciskās darbības pārbaudāmajā periodā.
also in eu-14, the sampled community industry producers recorded a declining net cash inflow from operating activities during the period under examination.
마지막 업데이트: 2014-11-18
사용 빈도: 1
품질:
faktiskās neto naudas plūsmas vai pamatdarbības peļņa vai zaudējumi, kas izriet no aktīva, ir ievērojami sliktākas nekā budžetā paredzētās;
actual net cash flows or operating profit or loss flowing from the asset that are significantly worse than those budgeted;
마지막 업데이트: 2014-11-21
사용 빈도: 1
품질:
būtiska budžetā paredzēto neto naudas plūsmu vai pamatdarbības peļņas samazināšanās vai arī būtisks budžetā paredzēto zaudējumu pieaugums, kas izriet no aktīva; vai
a significant decline in budgeted net cash flows or operating profit, or a significant increase in budgeted loss, flowing from the asset; or
마지막 업데이트: 2014-11-21
사용 빈도: 1
품질:
neto naudas plūsma no pamatdarbības attiecīgajā periodā ievērojami samazinājās, lai gan tā saglabājās pozitīva (izņemot 2010. gadu). 14.
the net cash flow from operating activities dropped considerably over the period considered, although it remained positive, except for the year 2010.
마지막 업데이트: 2014-11-21
사용 빈도: 1
품질: