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How would you calculate the following from the given data: 1) ROI 2)Payback Period 3)Net Return 4)Net Present Value 5)Discounted cash flow rate of return
How would you calculate the following from the given data:
1) ROI
2)Payback Period
3)Net Return
4)Net Present Value
5)Discounted cash flow rate of return
Aethon Technologies 5-Year Financial Plan-Manufacturing Cas Year 1 Year 3 Year 5 Operating activities R114 763 224,08 R4 800 000,00 R119 400 618,04 R2 448 000,00 R50 000,00 -R1 500 000,00 -R50 000,00 R100 000,00 R200 000,00 R500 000,00 R123 081 950,09 R4 160 000,00 -R300 000,00 R1 000 000,00 R128 974 945,20 R138 100 801,08 R624 321 538,48 R27 908 000,00 R400 000,00 R7 500 000,00 -R100 000,00 R500 000,00 R1 000 000,00 R2 500 000,00 R649 029 538,48 income R6 996 000,00 R250 000,00 -R2 000 000,00 -R50 000,00 R100 000,00 R200 000,00 R500 000,00 R134 970 945,20 Depreciation Accounts receivable R9 504 000,00 R400 000,00 -R500 000,00 ories R2 500 000,00 Accounts payable R100 000,00 R200 000,00 R500 000,00 R117 863 224,08 R100 000,00 R200 000,00 R500 000,00 R126 741 950,09 R100 000,00 R200 000,00 R500 000,00 R148 304 801,08 ies Other operating cash flow items ctivities R121 148 618 Investing activities pital expen Acquisition of business Sale of fixed assets Other investing cash flow items Total investing activities ditures R11 000 000,00 -R19 000 000,00 R21 000 000,00 R14 000 000,00R65 000 000,00 R5 000 000,00 R10 999 000,00 R150 000,00 -R48 851 000,00 R5 000 000,00 R100 000,00 R16 100 000,00 R50 000,00 -R11 000 000,00 -R19 001 000,00 -R20 950 000,00 -R14 000 000,00 Financing activities Long-term debt/financing Preferred stock Total cash dividends paid -R1 347 798,39 R1 000 000,00 -R100 000 000,00 R0,00 R1 570 188,30 R1 000 000,00 -R100 000 000,00 R1 571 197,72 R1 000 000,00 -R100 000 000,00 R1 834 807,99 R7 950 000,00 R5 000 000,00 -R100 000 000,00 -R100 000 000,00-R500 000 000,00 -R1 626 007,61 R1 000 000,00 R1 000 000,00 Other financing cash flow items Total financing activities R100 347 798,39 R100 570 188,30 -R100 571 197, 72 -R100 626 007,61 -R100 834 807,99 -R502 950 000,00 Cumulative cash flow R33 615 425,70 R7 169 752,37 R13 394 937,60 R33 469 993,09R97 228 53848 Beginning cash balance Ending cash balance R5 000 000,00 R38 615 425.70 R55 363 607,80 R68 758 545,39 R68 758 545,39 R102 228 538,48 R38 615 425,70 R48 193 855,43 R55 363 607.80 Aethon Technologies 5-Year Financial Plan-Manufacturing Cas Year 1 Year 3 Year 5 Operating activities R114 763 224,08 R4 800 000,00 R119 400 618,04 R2 448 000,00 R50 000,00 -R1 500 000,00 -R50 000,00 R100 000,00 R200 000,00 R500 000,00 R123 081 950,09 R4 160 000,00 -R300 000,00 R1 000 000,00 R128 974 945,20 R138 100 801,08 R624 321 538,48 R27 908 000,00 R400 000,00 R7 500 000,00 -R100 000,00 R500 000,00 R1 000 000,00 R2 500 000,00 R649 029 538,48 income R6 996 000,00 R250 000,00 -R2 000 000,00 -R50 000,00 R100 000,00 R200 000,00 R500 000,00 R134 970 945,20 Depreciation Accounts receivable R9 504 000,00 R400 000,00 -R500 000,00 ories R2 500 000,00 Accounts payable R100 000,00 R200 000,00 R500 000,00 R117 863 224,08 R100 000,00 R200 000,00 R500 000,00 R126 741 950,09 R100 000,00 R200 000,00 R500 000,00 R148 304 801,08 ies Other operating cash flow items ctivities R121 148 618 Investing activities pital expen Acquisition of business Sale of fixed assets Other investing cash flow items Total investing activities ditures R11 000 000,00 -R19 000 000,00 R21 000 000,00 R14 000 000,00R65 000 000,00 R5 000 000,00 R10 999 000,00 R150 000,00 -R48 851 000,00 R5 000 000,00 R100 000,00 R16 100 000,00 R50 000,00 -R11 000 000,00 -R19 001 000,00 -R20 950 000,00 -R14 000 000,00 Financing activities Long-term debt/financing Preferred stock Total cash dividends paid -R1 347 798,39 R1 000 000,00 -R100 000 000,00 R0,00 R1 570 188,30 R1 000 000,00 -R100 000 000,00 R1 571 197,72 R1 000 000,00 -R100 000 000,00 R1 834 807,99 R7 950 000,00 R5 000 000,00 -R100 000 000,00 -R100 000 000,00-R500 000 000,00 -R1 626 007,61 R1 000 000,00 R1 000 000,00 Other financing cash flow items Total financing activities R100 347 798,39 R100 570 188,30 -R100 571 197, 72 -R100 626 007,61 -R100 834 807,99 -R502 950 000,00 Cumulative cash flow R33 615 425,70 R7 169 752,37 R13 394 937,60 R33 469 993,09R97 228 53848 Beginning cash balance Ending cash balance R5 000 000,00 R38 615 425.70 R55 363 607,80 R68 758 545,39 R68 758 545,39 R102 228 538,48 R38 615 425,70 R48 193 855,43 R55 363 607.80
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