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Plano de Negócios Taviracitros_V14

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7.5.2 Cash-Flows<br />

2014 2015 2016 2017 2018 2019<br />

MEIOS LIBERTOS DO PROJECTO<br />

Resultados Operacionais (EBIT) x (1-IRC) -554 -22.080 7.953 24.837 50.547 78.729<br />

Depreciações e amortizações 17 208 9.050 9.383 10.112 1.812<br />

-537 -21.872 17.003 34.221 60.659 80.542<br />

INVESTIM./DESINVEST. EM FUNDO MANEIO<br />

Fundo <strong>de</strong> Maneio -1.189 20.166 -22.194 -1.043 -2.576 -1.598<br />

CASH FLOW DE EXPLORAÇÃO -1.727 -1.706 -5.191 33.178 58.083 78.943<br />

INVESTIM./DESINVEST. EM CAPITAL FIXO<br />

Capital Fixo -2.500 -28.400 -1.000 -5.000<br />

Free Cash-Flow -4.227 -1.706 -33.591 32.178 53.083 78.943<br />

Cash Flow Acumulado -4.227 -5.933 -39.523 -7.345 45.737 124 681<br />

Valores: Euro<br />

68 <strong>Plano</strong> <strong>de</strong> <strong>Negócios</strong> - <strong>Taviracitros</strong>, Unipessoal, Lda

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