xlsx, 31.1 KB
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An Excel 2010 worksheet that allows you to fill in the intial investment and cash flows information for up to four five year investments.

The worksheet then shows on separate tabs the Payback period; Average Rate of Return (ARR) and Net Present Value (NPV) of the investments.

The NPV discount rate can be chosen (between 1% & 15%) with a discount factor to 3d.p. used to complete the calcuations.

This can be used to allow the generation and easy checking unlimited practice scenarios.

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