Analysis period for the four mutually exclusive alternatives

Assignment Help Financial Management
Reference no: EM131026227

A cost analysis is to be made to determine what, if anything, should be done in a situation offering three "do-something" and one "do-nothing" alternatives. Estimates of the cost and benefits are as follows:

Alternatives            1       2        3          4

Cost                    500     600    700        0

UAB                    135 100    100        0

Salvage                0       250 180 0

Life(yrs)                5         5        10        0

Use a 10-year analysis period for the four mutually exclusive alternatives. At the end of Year 5, Alternatives 1 and 2 may be replaced with identical alternatives( with the same cost, benefits, salvage value, and useful life). (a) If a 8% interest rate is used, which alternative should be selected? (b) If a 12% interest rate is used, which alternative should be selected? Thanks in advance, seems so simple but having some trouble.

Reference no: EM131026227

Questions Cloud

Compute numbers and explicate five different possibilities : We receive a $400,000 mortgage from the bank for 30 years. A VP at the bank, tells us to fully amortize the mortgage we need to pay $5,000 monthly. First, we would like to know how much the yearly mortgage rate the bank charges us. Fifth, the VP of t..
Record the entries for the purchase of the net assets : Record the entries for the purchase of the net assets of Eagle by Mans (statutory merger) at the following cash prices:
Explain what does regular tournament strong mean : Here we need to first figure out something more about outdegrees and indegrees and orders of regular digraphs. Try to find a regular digraps with 3, 4, 5 ,6 vertices, and generalize.
What is the present value of this growing perpetuity : You are evaluating a growing perpetuity product from a large financial services firm. The product promises an initial payment of $21,000 at the end of this year and subsequent payments that will thereafter grow at a rate of 0.05 annually. If you use ..
Analysis period for the four mutually exclusive alternatives : A cost analysis is to be made to determine what, if anything, should be done in a situation offering three "do-something" and one "do-nothing" alternatives. Use a 10-year analysis period for the four mutually exclusive alternatives. At the end of Yea..
Illustrate what was the unemployment rate : The U.S. government reported in July 2004 that there were 75.6 million people not in the labor force; 147.9 million in the civilian labor force also 139.7 million employed. Based on these numbers, Illustrate what was the unemployment rate?
Planning to accumulate money by investing : To buy his son a car for his sixteenth birthday, Mark is planning to accumulate money by investing his Christmas bonuses for the next five years in a security which pays a 10 percent annual rate of return. The car will cost $20,000 at the end of the ..
At what call price will you get a margin call : You entered into future contract to buy €62,500 at $1.20/€ yesterday. Your initial margin was $4,200. Your maintenance is $2,500 9meaning that yur broker leaves you alone until account balance falls to $2,500) At what call price will you get a margin..
A stock is expected to pay a dividend : A stock is expected to pay a dividend of $1.81 at the end of the year. The required rate of return is rs = 11.82%, and the expected constant growth rate is g = 7.3%. What is the stock's current price? Round your answer to two decimal places

Reviews

Write a Review

Financial Management Questions & Answers

  The machine has an estimated residual value

Big Sky Mining Company must install 1.5 million of new machinery it its Nevada mine. It can obtain a bank loan for 100% of the purchase price, or it can lease the machinery. Assume that the following facts apply: (1)The machinery falls into the MACRS..

  Calculate the effect of points to be paid on loan

Calculate the effect of points to be paid on a $200,000 loan at 8%, monthly payments with a 30 year term given the following scenarios: assuming 4 points and the loan is held to maturity.

  Find the price one should pay to produce a yield rate

A bond with a par value of $1000 has annual coupons at the end of each year for 10 years. The initial coupon rate is 7% and each coupon is 3% greater than the preceding coupon. The bond is redeemed for $1200 at the end of 10 years. Find the price one..

  What will be the value of the investment in two years

Your brother has asked you to help him with choosing an investment. He has $6,000 to invest today for a period of two years. You identify a bank CD that pays an interest rate of 0.0300 annually with the interest being paid quarterly. What will be the..

  What is the log return of your position

Suppose that you bought Mike Inc. three years ago at $20.50 per share and you can now sell it for 21.74 per share now. Also, Mike Inc. has paid an annual dividend of $0.50, $0.47, and $0.63 in years one, two, and three. Ignoring the issue of Time Val..

  Which bond has current yield that exceeds yield to maturity

Determine the current market prices of the following $1,000 bonds if the comparable rate is 10% and answer the following questions. Which bond has a current yield that exceeds the yield to maturity? Which bond may you expect to be called? Why?

  Regression analysis estimates

Regression analysis estimates

  Remainder is invested in T-Bills

You have $100,000 invested. Of that, $50,000 is invested in IVM stock which has a beta of 1.4, $30,000 is invested in UBM stock with a beta of 1.2, and the remainder is invested in T-Bills. Which of the following is true?

  Equipment will depreciated straight-line to zero book value

A potential project requires the purchase of $612,000 of equipment. The equipment will be depreciated straight-line to a zero book value over the three-year life of the project. The equipment can be scraped at the end of the project for 45 percent of..

  Project is expected to create operating cash flows

A project is expected to create operating cash flows of $22,500 a year for three years. The initial cost of the fixed assets is $50,000. These assets will be worthless at the end of the project. An additional $3,000 of net working capital will be req..

  Market rate of return on similar securities

Apple currently does not pay a dividend and they have announced to the market that they will not pay a dividend for the next ten years. However, analysts expect that they will pay their first dividend of $1.89 in eleven years and they feel that the c..

  Interest compounded annually

Beatrice invests $1,460 in an account that pays 5 percent simple interest. How much more could she have earned over a 6-year period if the interest had compounded annually?

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