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Estimate the companys free cash flow for the next 5 years using these assumptions: a. 3% rate of market investment rate b. tax rate based

Estimate the companys free cash flow for the next 5 years using these assumptions: a. 3% rate of market investment rate b. tax rate based on previous 5 years. c. utilize an additional 6% investment tax credit for new capital infusion

Need b the most

Balance sheet
2020
Assets Liabilities
Current liabilities Current liabilities
Short term debt 3,897.00
Cash and cash equivelents 6,877.00 Non-current liabilities
Short term Investments 53,539.00 Long term liabilites 21,457.00
total current assets 60,416.00 Total liabilities 25,354.00
Non Current assets Stockholdes' equity
Common stock 22,340
Gross, property and equipment 12,427.00 reatined earnings 16,054
Accumaltove Depreciation -9,095.00 total Stockholders equity 38,394
total non current assets 3,332.00
Total assets 63,748.00 Total liabilities and stockholders equity 63,748.00

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