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INVERSION I 800,000,000
INGRESOS 100,000,000 105,000,000
GASTOS - 40,000,000 - 42,000,000

Venta de activos

Flujo de caja Generado - 800,000,000 60,000,000 63,000,000

TIR -2%

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INVERSION I - 800,000,000 100,000,000 105,000,000


INGRESOS - 40,000,000 - 42,000,000
GASTOS

Venta de activos

Flujo de caja Generado 60,000,000 63,000,000

TIR 858,871,713
Bu 0.7517351842
Beta apalancada 0.88
Prima de riesgo 6%
E 40,000,000
Kd 6.30%
D 10,500,000
RLR 3%
t 35%
ke 8%
WACC 0.0718806931 7.12%

Ke
Fuentes de efectivo

fuentes de efectivo
Aportes a socios 840,000.00
Prestamo Bancario 360,000.00
ingresos de contado 900,000,000.00 945,000,000.00
3 4 5 6 7 8
- 160,000,000 - 90,000,000
110,250,000 115,762,500 121,550,625 127,628,156 134,009,564 140,710,042
- 44,100,000 - 46,305,000 - 48,620,250 - 51,051,263 - 53,603,826 - 56,284,017

4,000,000

66,150,000 - 90,542,500 72,930,375 - 9,423,106 80,405,738 84,426,025

3 4 5 6 7 8
- 160,000,000 - 90,000,000
110,250,000 115,762,500 121,550,625 127,628,156 134,009,564 140,710,042
- 44,100,000 - 46,305,000 - 48,620,250 - 51,051,263 - 53,603,826 - 56,284,017

4,000,000

66,150,000 - 90,542,500 72,930,375 - 9,423,106 80,405,738 84,426,025


992,250,000.00 1,041,862,500.00 1,093,955,625.00
9 10

147,745,544 155,132,822
- 59,098,218 - 62,053,129

180,000,000

88,647,327 273,079,693

9 10

147,745,544 155,132,822
- 59,098,218 - 62,053,129

858,871,713

88,647,327 951,951,406

93,079,693
1,200,000.00 70% 840,000.00
30% 360,000.00
1,200,000.00

PRESTAMO 360,000,000.00
INTERESES 12.50%
PERIODO 5.00
CUOTA $ 101,107,454.05

PERIODO CUOTA INTERES ABONO

1 $ 101,107,454.05 45,000,000.00 56,107,454.05


2 $ 101,107,454.05 37,986,568.24 63,120,885.81
3 $ 101,107,454.05 30,096,457.52 71,010,996.54
4 $ 101,107,454.05 21,220,082.95 79,887,371.10
5 $ 101,107,454.05 11,234,161.56 89,873,292.49

PROYECCION EN VENTAS

AÑO 1 AÑO 2 AÑO 3


VENTAS 5 % 900,000,000.00 945,000,000.00 992,250,000.00

COSTO 40% 360,000,000.00 378,000,000.00 396,900,000.00

RECUADO DE CARTERA - -
- -

PERSONAL 96,000,000.00 102,720,000.00 109,910,400.00


CAPITAL
360,000,000.00
303,892,545.95
240,771,660.13
169,760,663.60
89,873,292.49
-

AÑO 4 AÑO 5
1,041,862,500.00 1,093,955,625.00

416,745,000.00 437,582,250.00

- -
- -

117,604,128.00 125,836,416.96
80,000,000.00
1 72,000,000.00 8,000,000.00
2 64,000,000.00 8,000,000.00
3 56,000,000.00 8,000,000.00
4 48,000,000.00 8,000,000.00
5 40,000,000.00 8,000,000.00
6 32,000,000.00 8,000,000.00
7 24,000,000.00 8,000,000.00
8 16,000,000.00 8,000,000.00
9 8,000,000.00 8,000,000.00
10 - 8,000,000.00

VEHICULOS 5 AÑOS
160,000,000 32,000,000.00
128,000,000 32,000,000.00
96,000,000 32,000,000.00
64,000,000 32,000,000.00
32,000,000 32,000,000.00

EQUIPO DE OFICINA
20,000,000

1 16,000,000 4,000,000.00
2 (4,000,000) 4,000,000.00
3 12,000,000 4,000,000.00
4 (8,000,000) 4,000,000.00
5 8,000,000 4,000,000.00
6 (12,000,000) 4,000,000.00
7 4,000,000 4,000,000.00
8 (16,000,000) 4,000,000.00
9 - 4,000,000.00
10 (20,000,000) 4,000,000.00
ESTADO DE

INGRESOS AÑO 1 AÑO 2


COSTOS 900,000,000 945,000,000
utilidad Bruta 360,000,000 378,000,000
540,000,000 567,000,000

GASTOS
Gastos de operación 140,000,000 193,800,000
Gastos de personal 96,000,000 149,800,000
depreciciacion 44,000,000.00 44,000,000.00
Utilidad operacional 400,000,000 373,200,000
Gastos no operacionales
Gastos financieros(-) 45,000,000 37,986,568
Utilidad antes de impuesto 355,000,000 335,213,432
Impuestos 124,250,000 117,324,701
Utlidad despues de impuestos 230,750,000 217,888,731
ESTADO DE RESULTADOS

AÑO 3 AÑO 4 AÑO 5


992,250,000 1,041,862,500 1,093,955,625
396,900,000 416,745,000 437,582,250
595,350,000 625,117,500 656,373,375

204,286,000 215,506,020 227,511,441


160,286,000 171,506,020 183,511,441
44,000,000.00 44,000,000.00 44,000,000.00
391,064,000 409,611,480 428,861,934

30,096,458 21,220,083 11,234,162


360,967,542 388,391,397 417,627,772
126,338,640 135,936,989 146,169,720
234,628,903 252,454,408 271,458,052

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