What is the net present value of project at discount rate

Assignment Help Financial Management
Reference no: EM131524825

SQLite Sports is considering adding a miniature golf course to its facility. The course would cost $133,526, would be depreciated on a straight line basis over its 5-year life, and would have a zero salvage value. The estimated income from the golfing fees would be $73,833 a year with $22,716 of that amount being variable cost. The fixed cost would be $11,161. In addition, the firm anticipates an additional $12,003 in revenue from its existing facilities if the golf course is added. The project will require $3,059 of net working capital, which is recoverable at the end of the project. What is the net present value of this project at a discount rate of 8.4 percent and a tax rate of 35 percent?

Reference no: EM131524825

Questions Cloud

What is discounted payback period : What is the discounted payback period if the discount rate is zero percent?
What is the bond yield to maturity : Boeing Corporation has just issued a callable (at par) three-year, 5.2% coupon bond with semi-annual coupon payment. What is the bond's yield to maturity?
What is the expected status of the content items in future : How will they be measured and what is the expected status of the content items in the future? Which forecasting techniques should you use? Why?
What would be the second year future value : A deposit of $810 earns interest rates of 9 percent in the first year and 12 percent in the second year. What would be the second year future value.
What is the net present value of project at discount rate : What is the net present value of this project at a discount rate of 8.4 percent and a tax rate of 35 percent?
Determine the net present value for the project : Determine the net present value (NPV) for the project. Determine the internal rate of return (IRR) for the project.
Retirement account has current balance : How much time will it take to accumulate a total of $1,500,000 if you are adding $6,500 annually and the interest rate is 7 percent?
Enhance the force of expression of financial model : “Excel helps with a large number of visual aids to enhance the force of expression of a financial model.”
When you begin building a financial model : When you begin building a financial model, you must:

Reviews

Write a Review

Financial Management Questions & Answers

  Identify all lazy dollars in your financial life

Identify all the lazy dollars in your financial life. What savings strategies will you use to improve your financial situation?

  About the dividend payout

The Wei Corporation expects next year's net income to be $10 million. how large should Wei's dividend payout ratio be next year?

  Holding period yield- what rate of return

The YTM on a bond is the interest rate you earn on your investment if interest rates don’t change. If you actually sell the bond before it matures, your realized return is known as the holding period yield (HPY). What rate of return do you expect to ..

  What is bond approximate yield to call

Suppose you have a 10%, 20 year bond traded at $1,120. If it is callable in 5 years at $1,150, what is the bond’s approximate yield to call? Interest is paid quarterly.

  What is the current market price of these bonds

Jackson Corporation's bonds have 5 years remaining to maturity. Interest is paid annually, the bonds have a $1,000 par value, and the coupon interest rate is 10.5%. The bonds have a yield to maturity of 8%. What is the current market price of these b..

  Sunk costs concept associated with making capital investment

Define the sunk costs concept associated with making capital investment decisions. Discuss why this concept is important for the investor to factor into the decision-making process.

  Chief advantage of factoring of receivables

Which of the following is a chief advantage of factoring of receivables? Factoring is a cheap way to finance Factoring transfers the risk of default to the factor Factoring lengthens the Operating Cycle Factoring is easily obtainable during economic ..

  Calculate covariance between the returns of stock

Given the returns and probabilities for the three possible states listed here, calculate the covariance between the returns of Stock A and Stock B. For convenience, assume that the expected returns of Stock A and Stock B are 0.13 and 0.19, respective..

  How can clearlake realistically deal with the dilemma

Clearlake does not know how many euros it will receive in the future, so it would have difficulty even if a long-term hedging method were available. How can Clearlake realistically deal with this dilemma and reduce its exposure over the long term?

  How much will street have to deposit in planning account

James Street's son, Harold, is 10 years old today. Harold is already making plans to go to college on his 18th birthday, and his father wants to start putting money away now for that purpose. Any balance remaining in the account will continue to earn..

  Many practitioners use the interest rate parity

In forecasting exchange rates, many practitioners use the Interest Rate Parity, Purchase Price Parity, Asset Approach, or the Balance of Payments Approach. (A) Please define and explain the above four methods of forecasting exchange rates, including ..

  What is the new beta of the portfolio

You hold a portfolio consisting of a $5,000 investment in each of 20 different stocks. The portfolio beta is equal to 0.87. You have decided to sell a coal mining stock (b = 1.00) at $5,000 net and use the proceeds to buy a like amount of a mineral r..

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