
|
序号 |
项目 |
建设期 |
投产期 |
达产期 | |||||||
|
1 |
2 |
3 |
4 |
5 |
6 |
7 |
8 |
9 |
10 | ||
|
1 |
现金流入 |
3800.00 |
4320.00 |
5400.00 |
5400.00 |
5400.00 |
5400.00 |
5400.00 |
5861.08 | ||
|
1.1 |
销售收入 |
3800.00 |
4320.00 |
5400.00 |
5400.00 |
5400.00 |
5400.00 |
5400.00 |
5400.00 | ||
|
1.2 |
回收固定 资产余值 |
161.08 | |||||||||
|
1.3 |
回收流动资金 |
300.00 | |||||||||
|
2 |
现金流出 |
930.00 |
620.00 |
3679.52 |
3558.96 |
3945.71 |
3932.64 |
3919.57 |
3906.51 |
3614.83 |
3614.83 |
|
2.1 |
自有资金 |
930.00 |
620.00 |
300.00 |
|||||||
|
2.2 |
借款本金偿还 |
278.61 |
278.61 |
278.61 |
278.61 |
278.61 |
278.61 |
||||
|
2.3 |
借款利息支付 |
117.01 |
97.51 |
78.01 |
58.61 |
39.00 |
19.50 |
||||
|
经营成本 |
2600.00 |
2600.00 |
2600.00 |
2600.00 |
2600.00 |
2600.00 |
2600.00 |
2600.00 | |||
|
2.4 |
销售税金及附加 |
228.00 |
259.20 |
324.00 |
324.00 |
324.00 |
324.00 |
324.00 |
324.00 | ||
|
2.5 |
所得税 |
155.90 |
323.64 |
665.09 |
671.52 |
677.96 |
684.40 |
690.83 |
690.83 | ||
|
3 |
净现金流量 |
-930.00 |
-620.00 |
120.48 |
761.04 |
1454.29 |
1467.36 |
1480.43 |
1493.49 |
1785.17 |
2246.25 |
|
4 |
累计净现金流量 |
-930.00 |
-1550.00 |
-1429.52 |
-668.48 |
785.81 |
2253.17 |
3733.60 |
5227.09 |
7012.26 |
9258.51 |
|
5 |
折现系数 (i=12%) |
0.8929 |
0.7972 |
0.7118 |
0.6355 |
0.5674 |
0.5066 |
0.4523 |
0.4039 |
0.3606 |
0.3220 |
|
6 |
折现净现金流量 |
-830.40 |
-493.26 |
85.76 |
483.64 |
825.16 |
743.36 |
669.60 |
603.22 |
643.73 |
723.29 |
|
7 |
折现净现金 |
-830.40 |
-1324.66 |
-1238.90 |
-755.26 |
69.90 |
813.27 |
1482.86 |
2086.09 |
2729.82 |
3453.11 |
