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暴走的小七 · 2022年05月24日

total net cash flow=10+5-(5-0)✖️25%+OCF,哪里不对吗?

NO.PZ2018101501000041

问题如下:

Company M, a pharmaceutical corporation, is investing $30 million in fixed capital and $10 million in working capital for a four-year expansion project. The fixed capital will be depreciated straight-line to zero over four years and it will generate annual revenues and annual cash operating expenses of $22 million and $8 million, respectively. The fixed assets are expected to be sold for $5 million and the working capital investment will be recovered at the end of the project. The tax rate is 25%. What’s the IRR for the project?

选项:

A.

9.10%

B.

15.38%

C.

18.43%

解释:

C is correct.

考点:Risk Analysis

解析:项目每年的现金流如下:CF0 = -$40 million

CF1 = CF2 = CF3 = (S – C – D)(1 – T) + D = (22-8-7.5)*(1-25%)+7.5 = $12.375 million

CF4 = After-tax operating CF+ TNOCF = $26.125 million

求得IRR = 18.43%

total net cash flow=10+5-(5-0)✖️25%+OCF,哪里不对吗?

1 个答案

王琛_品职助教 · 2022年05月25日

嗨,努力学习的PZer你好:


同学列的公式没问题呀~

期末总现金流的完整计算过程,也请参考:https://class.pzacademy.com/qa/92537

----------------------------------------------
努力的时光都是限量版,加油!

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NO.PZ2018101501000041问题如下Company M, a pharmaceuticcorporation, is investing $30 million in fixecapitan$10 million in working capitfor a four-yeexpansion project. The fixecapitwill preciatestraight-line to zero over four years anit will generate annurevenues anannucash operating expenses of $22 million an$8 million, respectively. The fixeassets are expecteto solfor $5 million anthe working capitinvestment will recoverethe enof the project. The trate is 25%. What’s the IRR for the project? 9.10% 15.38% 18.43% C is correct.考点Risk Analysis解析项目每年的现金流如下CF0 = -$40 millionCF1 = CF2 = CF3 = (S – C – (1 – T) + = (22-8-7.5)*(1-25%)+7.5 = $12.375 millionCF4 = After-toperating CF+ TNO= $26.125 million求得IRR = 18.43%项目每年的现金流如下CF0 = -$40 millionCF1 = CF2 = CF3 = (S – C – (1 – T) + = (22-8-7.5)*(1-25%)+7.5 = $12.375 millionCF4 = After-toperating CF+ TNO= $26.125 million然后IRR怎么求?

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