Calculate the net present worth

Assignment Help Financial Management
Reference no: EM131306419

A machine costs $980,000 to purchase and will provide $200,000 a year in benefits. The company plans to use the machine for 13 years and then will sell the machine and receive $20,000. The company’s interest rate is 12%. Calculate the Net Present Worth (NPW) and indicate whether to purchase the machine.

Reference no: EM131306419

Questions Cloud

What should you be willing to pay today for the annuity : An insurance company offers you an annuity of $36,000 per year for the next 15 years. They claim your return on the annuity is 13%. What should you be willing to pay today for the annuity? A financial instrument that agrees to pay an equal amount of ..
Describe the six developmental tasks that are necessary : Once an organization has identified its business foundation, it begins the process of developing tasks that are critical in determining its success in each stage of growth. Describe the six developmental tasks that are necessary for long-term succ..
Determine the rate of return on lite on the equipment : Lite Bike, Inc. has purchased a piece of equipment costing $80,000. It is expected to generate $14,000 each year for 8 years. Determine the rate of return on Lite on the equipment. New Investing has a stream of cash flows for 10 years and believes th..
Explain keys to effectively managing leadership development : Discuss the keys to effectively managing leadership development at each of the following levels: a first-line supervisor, a middle manager, a senior manager, and the President/CEO.
Calculate the net present worth : A machine costs $980,000 to purchase and will provide $200,000 a year in benefits. The company plans to use the machine for 13 years and then will sell the machine and receive $20,000. The company’s interest rate is 12%. Calculate the Net Present Wor..
Return on the common stock investment is higher : From the investor's point of view, analyze the advantages and disadvantages of the three investment alternatives—common stock, bonds, and preferred stock. Why would an investor select an investment in bonds over common stock, even if the return on th..
Make a lognormal probability plot of the data : STAT 5105 Applied Survival Data Analysis Assignment. Compute a nonparametric estimate of F(t), the proportion of units failing as function of time. Plot your estimates with linear scale. Make a lognormal probability plot of the data
What is the aftertax cash flow from the sale : Consider an asset that costs $974,000 and is depreciated straight-line to zero over its ten-year tax life. The asset is to be used in a seven-year project; at the end of the project, the asset can be sold for $136,000. If the relevant tax rate is 30 ..
Summarize the main points of the article : You can easily retrieve possible articles by doing an online search using the terms "psychology" and "paying taxes." Summarize the main points of the article.

Reviews

Write a Review

Financial Management Questions & Answers

  What is the efficient markets hypothesis

How can rational investors reduce their risk of investing in "stand alone" stocks? How does a stock portfolio reduce the risk of investments? What is a stock's beta? What is the Efficient Markets Hypothesis?

  What is her final wealth in the third trading day

Turn of the month effect is the belief that most of the (positive) returns on stocks occur at the turn of the month, which begins with the last trading day of the month and ends on the third trading day of the next month (a span of four days). What i..

  Partial payments and general stupidity

After months of broken promises, partial payments, and general stupidity, the landlord had no choice but to evict the long term tenants that had become little more than squatters in his first rental property. There was another way around these jobs t..

  When underwriters issue securities on a best efforts basis

When underwriters issue securities on a best efforts basis, they:

  Operating at capacity and expects to able to handle increase

The Webster Wonders Corporation (WWC) has begun selling a new product and they want you to help them determine if they need additional funding (AFN) next year. Using the AFN formula method, calculate WWC’s AFN for next year (if any). Sales growth nex..

  Balance sheet information-how much long-term debt

Tim Dye, the CFO of Blackwell Automotive, Inc., is putting together this year's financial statements. He has gathered the following balance sheet information: The firm had a cash balance of $23,015, accounts payable of $163,257, common stock of $314,..

  Compute the EPS for both Plan

Kyle Corporation is comparing two different capital structures, an all-equity plan (Plan I) and a levered plan (Plan II). Under Plan I, Kyle would have 795,000 shares of stock outstanding. Compute the EPS for both Plan

  Reasons are good motives for mergers

The following reasons are good motives for mergers except: A. Economies of scale B. Increased purchasing power C. Increased value for acquiring company’s shareholders D. Unused tax shields

  A scandinavian wind turbine manufacturer

2. A Scandinavian wind turbine manufacturer is attempting to understand the profit impact of a price change on turbines. Currently a 1.5 megawatt wind turbine has a total price of $1.7million to an electric generator but faces only 1.3 million..

  Create portfolio with an expected return

You have $299 thousand to invest in a stock portfolio. Your choices are Stock H, with an expected return of 14.81 percent, and Stock L, with an expected return of 10.01 percent. If your goal is to create a portfolio with an expected return of 12.91 p..

  What will the company report as an expense

Dividends on the stock are $1 per year, payable halfway through each year, and the risk-free rate is 5%. What will the company report as an expense for the options on its income statement?

  Bond price calculated with the bonds yield to maturity

A 2-year corporate bond has a coupon rate of 4 percent. The one-year spot rate is 3 percent and the forward rate is 5 percent. The bond credit spread is 1 percent for both the one-year and the two-year maturities. What is the price of the bond expres..

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