【正文】
d 99,680 prepaid insurance 65,000 gain on sale of equipment 24,250 cash provided by operating activities 10,740 Sale of equipment 215,500 Cash inflow from investing activities 215,500 Property, plant and equipment 820,000 Land 125,000 Cash outflow from investing activities 945,000 Cash provided by investing activities 729,500 現(xiàn)金流量表編制(間接法) Shortterm debt 200,000 Longterm debt 510,000 Cash inflow from financing activities 710,000 Interest expense 58,750 Dividends payable 10,000 Treasury stock 26