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To do this, run a simulation and then open the Cash flow chart. On the left you will see the cash flow periods and the right is the cash flow chart.
You can modify the periodicity using the drop down menu on the bottom of the view. Periods can be monthly, bi monthly, quarterly, and yearly.
Select a period from the table on the left and right-click on the number (1,2,3 ….). On the shortcut menu, click Results for selected Interval.
The Results chart appears. You can choose a histogram, cumulative probability or both. As with all charts, these can be copied or saved.
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