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Estudio Socio-Económico Planta Faenamiento Macas(5 MB)

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Flujos de Caja del Análisis de Sensibilidad de la Evaluación Financiera<br />

Aumento de 10% en Costos<br />

CUADRO Nº 52<br />

Flujo de Caja 0 1 2 3 4 5 6 7 8<br />

Rubro<br />

Inversiones -1.271.442,39<br />

Total de Ingresos<br />

460.000,00 483.000,00 501.150,00 532.507,50 536.632,88 581.089,52 616.443,99 647.266,19<br />

Costo de servicio<br />

155.478,88 161.440,40 167.937,12 175.021,33 182.750,55 191.188,01 200.403,23 210.472,68<br />

Utilidad Bruta<br />

304.521,12 321.559,60 333.212,88 357.486,17 353.882,32 389.901,51 416.040,76 436.793,52<br />

Gastos Administrativos<br />

36.720,42 40.392,46 44.431,71 48.874,88 53.762,37 59.138,60 65.052,46 71.557,71<br />

Gastos Generales<br />

2.280,00 2.302,80 2.325,83 2.349,09 2.372,58 2.396,30 2.420,27 2.444,47<br />

Utilidad Neta<br />

265.520,70 278.864,34 286.455,35 306.262,20 297.747,38 328.366,60 348.568,03 362.791,34<br />

+ depreciación<br />

59.442,08 59.442,08 59.442,08 59.442,08 59.442,08 59.442,08 59.442,08 59.442,08<br />

Flujo de caja neto -1.271.442,39 324.962,78 338.306,42 345.897,43 365.704,28 357.189,46 387.808,68 408.010,11 422.233,42<br />

Disminución de 10% en Ingresos<br />

Flujo de Caja 0 1 2 3 4 5 6 7 8<br />

Rubro<br />

Inversiones -1.271.442,39<br />

Total de Ingresos<br />

414.000,00 434.700,00 451.035,00 479.256,75 482.969,59 522.980,57 554.799,60 582.539,57<br />

Costo de servicio<br />

141.344,44 146.764,00 152.670,11 159.110,30 166.136,87 173.807,28 182.184,75 191.338,80<br />

Utilidad Bruta<br />

272.655,56 287.936,00 298.364,89 320.146,45 316.832,72 349.173,29 372.614,84 391.200,78<br />

Gastos Administrativos<br />

36.720,42 40.392,46 44.431,71 48.874,88 53.762,37 59.138,60 65.052,46 71.557,71<br />

Gastos Generales<br />

2.280,00 2.302,80 2.325,83 2.349,09 2.372,58 2.396,30 2.420,27 2.444,47<br />

Utilidad Neta<br />

233.655,14 245.240,74 251.607,36 268.922,48 260.697,78 287.638,38 305.142,11 317.198,60<br />

+ depreciación<br />

59.442,08 59.442,08 59.442,08 59.442,08 59.442,08 59.442,08 59.442,08 59.442,08<br />

Flujo de caja neto -1.271.442,39 293.097,22 304.682,82 311.049,44 328.364,56 320.139,86 347.080,46 364.584,19 376.640,68<br />

100

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