Common use of Definition of Net Cash Flow Clause in Contracts

Definition of Net Cash Flow. “Net Cash Flow” for a Fiscal Year is computed by deducting from the sum of the interest income and the EBITDA of the Company as reflected in the financial statements for such Fiscal Year (or, for purposes of making the distributions in section 8.5(a), may be estimated based on any information available):

Appears in 3 contracts

Sources: Limited Liability Company Agreement (American Railcar Industries, Inc./De), Limited Liability Company Agreement (American Railcar Industries, Inc.), Limited Liability Company Agreement (American Railcar Industries, Inc./De)