I have to write parts 4 and 5- analysis and recommendations. I have uploaded the guidelines, an explanation of the case, 2 examples, and the numbers that we found in pdf and Excel format. We have used the following assumptions: Risk free rate is 6.4% Market return is 14% since we estimated it’s a large company Beta for debt is 2% Tax rate is computed based on the average of 3 years (97,96,95) is 36.6%
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