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I’ve got the same figures)
I have the same calculations for Q1 as amurulez but failed q2 with dividend capacity . How it should be calculated?
Yes, it was done from scenario for project Alpha, but PV for project Beta was calculated based on all equity Ke. So how we should compare NPV from projects A and B?
What project should we choose in q1? What DF used for project Alpha? 10% or we should calculate Ke I ungeared?
I don’t understand what should we do in Q1 with calculated in the scenario call option and Pa 46 mln for second project. I think than examiner prepared some tricks, but I can’t guess it.
