Ejercicio Resuelto Caso - Compra de Edificio
Ejercicio Resuelto Caso - Compra de Edificio
Ejercicio Resuelto Caso - Compra de Edificio
Financiamiento
- Deuda 70%
- Capital 30%
- Kd anual 8.00%
- Plazo deuda 3 aos (2014 - 2016)
SOLUCIN
Cronograma de pagos
2013 2014
- Prstamo 2,100,000
- Saldo de deuda 2,100,000 1,400,000
- Amortizacin constante 700,000
- Inters 168,000
- Cuotas 868,000
2013 2014
Inversin
Construccin y remodelacin 3,000,000
Amortizacin 3,000,000
ESTADO DE RESULTADOS 0 1
Ingresos 4,200,000
Costos Variables -900,000
Utilidad bruta 3,300,000
Costo fijos -300,000
Amortizacin -3,000,000
Utilidad operativa 0
Venta del activo
Costo de enajenacin maq
Gastos financieros -168,000
Utilidad antes de Imp - -168,000
Impuesto 30% 0
Utilidad despues de Imp -168,000
Escudo tributario 50,400
Tributos pagar 0
FC de Inversiones
Construccin y remodelacin -3,000,000
Total FC de Inversiones -3,000,000 0
FC de la Deuda
- Ingresos por Prstamos 2,100,000
- Egresos por Servicio de Deuda -868,000
FC de la Deuda 2,100,000 -868,000
Ko 8.3%
VPN = VANF 20,202,964 Rpta a
TIRF 239.6%
2015 2016 2017 2018 2019
700,000 -
700,000 700,000
112,000 56,000
812,000 756,000
5% 5% 5% 5% 5%
21.0 22.1 23.2 24.3 25.5
5% 5% 5% 5% 5%
3.2 3.3 3.5 3.6 3.8
2 3 4 5 6
5,040,000 5,953,500 6,251,175 6,563,734 6,891,920
-945,000 -992,250 -1,041,863 -1,093,956 -1,148,653
4,095,000 4,961,250 5,209,313 5,469,778 5,743,267
-309,000 -318,270 -327,818 -337,653 -347,782
0 0 0 0 0
3,786,000 4,642,980 4,881,494 5,132,125 5,395,485
-112,000 -56,000 0 0 0
3,674,000 4,586,980 4,881,494 5,132,125 5,395,485
-1,051,800 -1,376,094 -1,464,448 -1,539,638 -1,618,645
2,622,200 3,210,886 3,417,046 3,592,488 3,776,839
0 0 0 0 0
-1,001,400 -1,376,094 -1,464,448 -1,539,638 -1,618,645
2 3 4 5 6
3,786,000 4,642,980 4,881,494 5,132,125 5,395,485
-1,001,400 -1,376,094 -1,464,448 -1,539,638 -1,618,645
2,784,600 3,266,886 3,417,046 3,592,488 3,776,839
0 0 0 0 0
-812,000 -756,000 0 0 0
-812,000 -756,000 0 0 0
3% 3% 3% 3%
26.3 27.1 27.9 28.7
3% 3% 3% 3%
3.9 4.1 4.2 4.3
7 8 9 10
7,098,678 7,311,638 7,530,988 7,756,917
-1,183,113 -1,218,606 -1,255,165 -1,292,820
5,915,565 6,093,032 6,275,823 6,464,098
-358,216 -368,962 -380,031 -391,432
0 0 0 0
5,557,349 5,724,070 5,895,792 6,072,666
-
-
0 0 0 0
5,557,349 5,724,070 5,895,792 6,072,666
-1,667,205 -1,717,221 -1,768,738 -1,821,800
3,890,145 4,006,849 4,127,054 4,250,866
0 0 0 0
-1,667,205 -1,717,221 -1,768,738 -1,821,800
7 8 9 10
5,557,349 5,724,070 5,895,792 6,072,666
-1,667,205 -1,717,221 -1,768,738 -1,821,800
3,890,145 4,006,849 4,127,054 4,250,866
-
0 0 0 0
0 0 0 0
0 0 0 0
Financiamiento
- Deuda 70%
- Capital 30%
- Kd anual 8.00%
- Plazo deuda 3 aos (2014 - 2016)
SOLUCIN
Cronograma de pagos
2013
- Prstamo 2,100,000
- Saldo de deuda 2,100,000
- Amortizacin constante
- Inters
- Cuotas
2013
Inversin
Construccin y remodelacin 3,000,000
Amortizacin
Area rentable en m2
Tasa de desocupacin
Alquiler (m2)
ESTADO DE RESULTADOS 0
Ingresos
Costos Variables
Utilidad bruta
Costo fijos
Amortizacin
Utilidad operativa
Venta del activo
Costo de enajenacin maq
Gastos financieros
Utilidad antes de Imp -
Impuesto 30%
Utilidad despues de Imp
Escudo tributario
Tributos pagar
FC de Inversiones
Construccin y remodelacin -3,000,000
Total FC de Inversiones -3,000,000
FC de la Deuda
- Ingresos por Prstamos 2,100,000
- Egresos por Servicio de Deuda
FC de la Deuda 2,100,000
Rpta e)
El valor de compra del activo debe ser menor o igual a 23347,892
2014 - 2016)
1,400,000 700,000 -
700,000 700,000 700,000
168,000 112,000 56,000
868,000 812,000 756,000
3,000,000
5% 5% 5% 5%
20.0 21.0 22.1 23.2 24.3
5% 5% 5% 5%
3.0 3.2 3.3 3.5 3.6
1 2 3 4 5
4,200,000 5,040,000 5,953,500 6,251,175 6,563,734
-900,000 -945,000 -992,250 -1,041,863 -1,093,956
3,300,000 4,095,000 4,961,250 5,209,313 5,469,778
-300,000 -309,000 -318,270 -327,818 -337,653
-3,000,000 0 0 0 0
0 3,786,000 4,642,980 4,881,494 5,132,125
1 2 3 4 5
3,000,000 3,786,000 4,642,980 4,881,494 5,132,125
0 -1,001,400 -1,376,094 -1,464,448 -1,539,638
3,000,000 2,784,600 3,266,886 3,417,046 3,592,488
0 0 0 0 0
5% 3% 3% 3% 3%
25.5 26.3 27.1 27.9 28.7
5% 3% 3% 3% 3%
3.8 3.9 4.1 4.2 4.3
6 7 8 9 10
6,891,920 7,098,678 7,311,638 7,530,988 7,756,917
-1,148,653 -1,183,113 -1,218,606 -1,255,165 -1,292,820
5,743,267 5,915,565 6,093,032 6,275,823 6,464,098
-347,782 -358,216 -368,962 -380,031 -391,432
0 0 0 0 0
5,395,485 5,557,349 5,724,070 5,895,792 6,072,666
10,000,000
-
0 0 0 0 0
5,395,485 5,557,349 5,724,070 5,895,792 16,072,666
-1,618,645 -1,667,205 -1,717,221 -1,768,738 -4,821,800
3,776,839 3,890,145 4,006,849 4,127,054 11,250,866
0 0 0 0 0
-1,618,645 -1,667,205 -1,717,221 -1,768,738 -4,821,800
6 7 8 9 10
5,395,485 5,557,349 5,724,070 5,895,792 6,072,666
-1,618,645 -1,667,205 -1,717,221 -1,768,738 -4,821,800
3,776,839 3,890,145 4,006,849 4,127,054 1,250,866
10,000,000
0 0 0 0 10,000,000
0 0 0 0 0
0 0 0 0 0