Question

a) What is the Before Tax Cash Flow? b) What is the After Tax Cash Flow?...

a) What is the Before Tax Cash Flow?

b) What is the After Tax Cash Flow?

Given: Annual Debt Service                            $20,876

            Vacancy & Collection Loss                  6%

            Depreciation                                       10,000

            PGI                                                      46,200

            Interest                                               1,701

            Operating Expenses                            18,400

            Marginal Tax Rate                              28%

                        All numbers are annual

If possible, please use a financial calculator and show me how to solve as I need to learn this concept for this class.

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