Calculate rate of return for txdot

Assignment Help Finance Basics
Reference no: EM13881992

The Texas Department of Transportation (TxDOT) is considering two designs for crash barriers along a reconstructed portion of I-10. Design 2B will cost $3 million to install and $135,000 per year to maintain. Design 4R will cost $3.7 million to install and $70,000 per year to maintain.

Calculate the rate of return and determine which design is preferred if TxDOT uses a MARR of 6% per year and a 20-year project period.

Reference no: EM13881992

Questions Cloud

Buying stock with market order : Buying Stock with a Market Order You would like to buy shares of Ralph Lauren (RL). The current bid and ask quotes are $85.18 and $85.30, respectively. You place a market buy-order for 500 shares that executes at these quoted prices. How much money d..
Which of the given process is economically favored : If the company uses a 3-year recovery period for paint products and a MARR of 20% per year, which process is economically favored?
The fixed asset falls into the three-year MACRS class : Quad Enterprises is considering a new three-year expansion project that requires an initial fixed asset investment of $2.58 million. The fixed asset falls into the three-year MACRS class. The project is estimated to generate $2,040,000 in annual sale..
The hurdle rate for capital budgeting decisions : Using the company cost of capital to evaluate a project is: I) Always correct II) Always incorrect III) Correct for projects that are about as risky as the average of the firm's other assets. The hurdle rate for capital budgeting decisions is. Genera..
Calculate rate of return for txdot : Calculate the rate of return and determine which design is preferred if TxDOT uses a MARR of 6% per year and a 20-year project period.
Example of an anomaly to the efficient market hypothesis : Which of the following is not an example of an anomaly to the efficient market hypothesis?
Cost straight-line to zero over the projects life : Romo Enterprises needs someone to supply it with 121,000 cartons of machine screws per year to support its manufacturing needs over the next five years, and you’ve decided to bid on the contract. It will cost you $880,000 to install the equipment nec..
Calculate the yield using a geometric average : One-year Treasury securities yield 5%. The market anticipates that 1 year from now, 1 year Treasury securities will yield 6%. If the pure expectations theory is correct, what is the yield today for 2-year Treasury securities? Calculate the yield usin..
Determine which alternative is better at marr of six percent : Calculate the incremental rate of return and determine which alternative is better at a MARR of 6% per year over a 20-year study period.

Reviews

Write a Review

Finance Basics Questions & Answers

  What is the profit or loss associated with copper

Allocate the joint costs using relative weight. With these costs, what is the profit or loss associated with Copper?

  You invest in an ordinary annuity of 3000 annually at 7

you invest in an ordinary annuity of 3000 annually at 7 annual interest. what is the future value of the annuity at

  What is the projects payback period

What is its internal rate of return? What would be the case if the required rate of return was 10 percent? What is the project's payback period?

  Determine present value of future annuities

Think of something you want or need for which you currently do not have the funds for. It could be a vehicle, boat, horse, jewelry, property, vacation, college fund, retirement money, etc. How much do you need to invest today to reach that desired ..

  What is the incremental profit

What is the incremental profit? To get a rough idea of the projects profitability, what is the projects expected rate of return for the next year (defined as the incremental profit divided by the investment)? Should the firm make the investment?

  What is the market value of the bond

Knight, Inc., has issued a three-year bond that pays a coupon of 5.50 percent. Coupon payments are made semiannually. Given the market rate of interest of 4.10 percent, what is the market value of the bond?

  Because depreciation is not a cash flow why is it

because depreciation is not a cash flow why is it important in capital budgeting evaluation techniques that use

  What is manor tie ratio

If the company does not maintain a TIE ratio of at least 5 to 1, then its bank will refuse to renew the load and bankruptcy will result. What is Manor's TIE ratio?

  Advantages and disadvantages direct-indirect foreign

What are some advantages and disadvantages of the different types of direct and indirect foreign investments? Does direct or indirect foreign investment always lead to risk reduction?

  After-tax annual interest savings for nyw

The new bonds would be issued when the old bonds are called.What will the after-tax annual interest savings for NYW be if the refunding takes place?

  What is the initial cash flow of this project

In addition, $450,000 worth of grading, draining, and paving will be required. What is the initial cash flow of this project? A. -$2.99 m B.-$3.44m C.-$3.5m D."-$1.55 m

  How does discounting as used in determining present value

how does discounting as used in determining present value relate to compounding as used in determining future value?

Free Assignment Quote

Assured A++ Grade

Get guaranteed satisfaction & time on delivery in every assignment order you paid with us! We ensure premium quality solution document along with free turntin report!

All rights reserved! Copyrights ©2019-2020 ExpertsMind IT Educational Pvt Ltd