Capital Budgeting Investment Analysis
Evaluate investment decisions with NPV and IRR calculations across multi-year cash flow projections.
This template automates capital budgeting analysis by calculating net present value (NPV), internal rate of return (IRR), and present value metrics across a 10-year investment horizon. It compares old vs. new asset scenarios, helping businesses determine whether to replace equipment or pursue new investments based on financial returns. Built for finance managers and CFOs who need data-driven investment decisions without complex modeling.
What's inside
- 10-year cash flow modeling
- NPV and IRR automated calculation
- Old vs. new asset comparison
- Net cash flow summaries
- Lookup functions for scenario flexibility
Download this template
.xlsx · 1 sheet · included with lifetime access
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