Case Analysis

profileechidester
FPCReplacementProjectAnalysisWorksheet_FINAL_Spring2021-1.xlsx

Sheet1

FALCONVILLE PUMP COMPANY - CASH FLOW ESTIMATION WORK WORKSHEET
Input Data
Cost of NEW equipment Annual dep. of old equipment
Salvage value new equipment OLD equipment's depreciable life left
Cost of old equipment Old equipment's depreciated years
Depreciation of old equipment till date Annal cost savings
Salvage value of old equipment Removal cost of old equipment
Tax rate Removal cost of new equipment
WACC Net working capital requirement
t=0 t=1 t=2 t=3 t=4 t=5 t=6 t=7 t=8
I INVESTMENT OUTLAY
1
2
3
4
5
6
II OPERATING CASH FLOWS OVER THE PROJECT'S LIFE
7
8
9
10
11
12
III TERMINAL YEAR CASH FLOWS
13
14
15
16
17
IV NET CASH FLOWS
18
V RESULTS
NPV =
IRR =
MIRR =
Payback period =
DECISION BASED ON YOUR ANALYSIS:
ANSWERS TO QUESTIONS:
Q#1:
Q#2:
Q#3:
Q#4:

Sheet2

Sheet3